LTC 334-2015 Reports and Informational Items for the September 2, 2015 Commission Meeting — -
1915.2015
MIAMIBEACH
OFFICE OF THE CITY MANAGER _
LTC # 334-2015 LETTER TO COMMISSION
TO: Mayor Philip Levine and Members of the City Co mission
FROM: Jimmy Morales, City Manager
DATE: August 26, 2015
SUBJECT: REPORTS AND INFORMATION L ITEMS FOR THE SEPTEMBER 2, 2015
COMMISSION MEETING
The following reports are attached and will also be posted on the City's website.
a. Parking Status Report- May 2015.
b. Parking Status Report- June 2015.
c. Informational Report On All Existing City Contracts For Renewal Or Extensions In
The Next 180 Days.
d. CIP Monthly Construction Project Update.
e. Report On Emergency Purchases And Unauthorized Purchases.
f. Informational Report On Capital Or Infrastructure Projects Awarded Pursuant To The
National Joint Powers Alliance (NJPA) Competitively Solicited Contract For
Construction Services.
g. Report Of The Itemized Revenues And Expenditures Of The Miami Beach
Redevelopment Agency's City Center District&South Pointe(Pre-Termination Carry
Forward Balances) For The Month Of June 2015.
h. Report Of The Itemized Revenues And Expenditures Of The Miami Beach
Redevelopment Agency's City Center District&South Pointe(Pre-Termination Carry
Forward Balances) For The Month Of July 2015.
JLM/REG/Ic
F:\CLER\$ALL\CILIA\Commission-Meetings\2015\September 2,2015\LTC.doc
MOAMIIEC1i
City of Miami Beach, 1700 Convention Center Drive,Miami Beach, Florida 33139,www.miamibeachfl.gov
COMMISSION MEMORANDUM
TO: Mayor Philip Levine and Members of the City C mission
FROM: Jimmy L. Morales, City Manager a
DATE: September 2, 2015
SUBJECT: PARKING STATUS REPORT MAY 2015
The Parking Department received revenue from different sources outlined in the categories listed
below. In addition, only selected recurring expenses associated with the parking garages are reported
herein.
The following is a condensed presentation of revenue by source and variance:
May 2014 May 2015 $variance
I On/Off Metered Spaces*
On/Off Metered Spaces $ 1,971,242.91 $ 2,1 13,446.36 $ 142,203.45
Total Metered Spaces $ 1,971,242.91 $ 2,1 13,446.36 $ 142,203.45
*These amounts include revenue from Pay by Phone Transactions
II Enforcement**
M-D Cty Pkg Violations $ 283,660.32 $ 233,980.44 $ (49,679.88)
Towing 31,462.45 49,885.90 18,423.45
Total Enforcement $ 315,122.77 $ 283,866.34 $ (31,256.43)
**These amounts include revenue for the month that had not yet posted to EDEN
Meter Revenue: Meter revenue is composed of both single space and multi space meters on the street
and in lots as well as multi space meters located inside the City Hall and 42nd Street Garages. Meter
revenue variances are driven by many variables which include, but are not limited to, road and
sidewalk construction, closed streets and location of events held in the City. When compared to the
prior year, the meter revenue increased due to the completion of construction related projects.
Enforcement: The City receives a share of ticket citations for parking violations that occur in Miami
Beach and are collected by Miami-Dade County. Towing revenue increased due to the increased
enforcement of Freight Loading Zones (FLZ). The decrease in county parking violations is caused by
the City of Miami Beach Legal Department's direction to no longer cite vehicles with expired tags.
•
Agenda Item a.
Date `1-02-/5
1
September 2, 2015
City Commission Memorandum
Parking Status Report—May, 2015
Page 2 of 3
May 2014 May 2015 $variance
Ill Off Street facilities
a Garages
17th Street Garage $ 403,790.57 $ 398,713.11 $ (5,077.46)
Pennsylvania Garage 65,399.93 69,564.26 4,164.33
Sunset Harbour Garage 54,265.90 60,426.23 6,160.33
City Hall Garage 38,925.00 35,563.93 (3,361.07)
7th Stret Garage 221,099.78 245,068.93 23,969.15
12th Street Garage 52,384.47 66,926.26 14,541.79
13th Street Garage 125,024.35 134,547.36 9,523.01
42nd Street Garage 66,506.65 89,484.09 22,977.44
16th Street Garage 253,079.67 275,321.12 22,241.45
Total Garage $ 1,280,476.32 $ 1,375,615.29 $ 95,1 38.97
b Joint Development*
5th and Alton Garage $ 40,334.53 $ 58,1 10.75 $ 17,776.22
Total 5th &Alton $ 40,334.53 $ 58,1 10.75 $ 17,776.22
*46%of total revenue which represents the City's pro-rata share pursuant to the Development Agreement
Garages: Revenues are composed of transient, monthly, and flat rate special event rates. Garage
revenue variances are driven by many variables which include, but are not limited to, special events,
weather, tourism, and maintenance.
5th and Alton Garage: The 5th and Alton Garage is a joint development (parking garage) with the
"Developer" (Edens) containing 1,080 parking spaces. The Developer and City own 54% and 46%
of the parking spaces, respectively, and profit/loss is also shared in the same manner. The City's
revenue portion (46%) for the month of May 2015 is $58,110.75, resulting in total net profit of
$19,911 .74. Pursuant to the Development Agreement, the City receives its proportionate share of
profit or must subsidize any loss. The City and Developer continue to jointly pursue initiatives to
promote the use of the garage. These initiatives include but are not limited to "after hours" flat rate
parking; valet parking storage; monthly parking; and strategically placed electronic signage directing
users to the facility. Future considerations include promotional rates for"after hours and park and ride
options to the entertainment districts.
2
September 2, 2015
City Commission Memorandum
Parking Status Report—May, 2015
Page 3 of 3
May 2014 May 2015 $variance
IV Permit Sales
Municipal Monthly Permits $ (33,472.03) $ 7,094.01 $ 40,566.04
Valet&Space Rental 151,429.87 110,852.00 (40,577.87)
Residential and Visitor Permits 61,020.24 58,955.68 (2,064.56)
Hotel Hang Tags 9,000.00 8,000.00 (1,000.00)
Total Permits $ 187,978.08 $ 184,901.69 $ (3,076.39)
V Preferred Lots
Preferred Lots $ 88,551.40 $ 116,315.20 $ 27,763.80
Total Preferred Lots $ 88,551.40 $ 116,315.20 $ 27,763.80
VI Miscellaneous
Miscellaneous $ 7,506.43 $ 4,359.41 $ (3,147.02)
Total Miscellaneous $ 7,506.43 $ 4,359.41 $ (3,147.02)
VII Pay by Phone
Pay By Phone Transaction Fees $ 3,001.98 $ 51,384.50 $ 48,382.52
(collected on behalf of Parkmobile)
Total Pay by Phone $ 3,001.98 $ 51,384.50 $ 48,382.52
Permit Sales: Due to a billing error, the May 2014 revenue included an adjustment which caused a
negative balance. Space rental revenue varies due to the fluctuation of.construction, special events
and film. The sale of residential and visitor's virtual permits was introduced in fiscal year 2015,
allowing residents to purchase residential permits and visitor permits for their guests online. The virtual
permits are enforced using LPR technology.
Preferred Lot: This lot is located in the front of the Convention Center, and variances are contingent on
convention center special events.
Miscellaneous Revenue: This category consists of other accounts including a revenue share from Deco
Bike, advertising revenue, interest, etc. The decrease in miscellaneous revenue is due in part for
interest and advertisement fees collected previous year that was not received in current month.
Pay by Phone: The City Commission awarded Parkmobile to provide pay by phone services. Pay by
phone provides enhanced functionality over the in-vehicle parking meter. Miami Beach residents will
continue to enjoy the resident discount on the hourly meter rate, from $1 .75 to $1 .00 per hour (43%
discount), in the South Beach area. Moreover, Parkmobile will assess no transaction fees to Miami
Beach residents for pay by phone service. Parkmobile began services on May 12, 2014. The revenue
shown above represents the transaction fees collected•by the City for non-resident transactions and
remitted to Parkmobile in the following month.
Aft
JLM/KG /PDW/SF/BN
f:\ping\$all\b.nussbaum\2014-2015\08 May\parking status report\May 2015 Parking Status Report.doc
3
PARKING DEPARTMENT REVENUE
May-15
Meters Towing &Parking - Permit Sales &Space
(SS&MS) Violations Garages&Attended Lots Rentals TOTAL
May-14 $ 1,971,242.91 $ 315,122.77 $ 1,280,476.32 $ 187,978.08 $ 3,754,820.08
May-15 $ 2,113,446.36 $ 283,866.34 $ 1,375,615.29 $ 184,901.69 $ 3,957,829.68
Diff $ 142,203.45 $ (31,256.43) $ (120,205.13) $ 22,974.81 $ 203,009.60
%Diff 7.21% -9.92% -7.71% 9.33% 5.41%
Revenue 2015
Permit Sales &Space Rentals
5%
Meters
(SS&MS)
,. 53%
.a,
L >17
Garages&Attended Lots._—.------- ;:
35%
l ,
zw
Towing&Parking Violations
7%
•
$4,000,000 _..._.._.,._..
$3,500,000 " "
3,000,000 .._..._.._......._._�.....
$2,500,000 -
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_..._.-.._.-._ ..._..___ •May-14
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_ __.. _. _._ May-15
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s
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/
r—_____ dr i,
Meters ..,�- w- _.-_. _..
Towing& ..Y" /
(SS&MS) Garages& _..�_`'"""°`.--°._... /
Parking Attended Permit Sales TOTAL
Violations &Space
Lots
Rentals
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VIRTUAL PERMITS
May-15
$2,500 Visitor Permit Revenue
$2,000 .,y
t
Month Revenue K
January $ 980.00 $1,500
February 768.00 $1,000 ' r
March 1,191.00 r
April 1,382.00 $500 ,&r' L _
May 2,074.00 „A,:
Total $6,395.00 $- +--� `' s
January February March April May
2500
2000 E I
Permits Unique 1500 1
Month Sold Customers
January 980 185 1000 I -'Permits Sold
February 768 171 j -Unique Customers
March 1191 260 500 I
April 1382 319
May 2074 416
0 S ! 3 I i
aCNP `o\)ate C'§ PQ� 4a6
PARKING DEPARTMENT METER REVENUE
Meter Revenue % of Usage
May-15
Multi-Space
(Credit Card),
48%
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t Single Space
(Coins), 1%
., multi-Space
(Coins), 4%
Multi-Space
(Bills), 25%
Park Mobile,
22%
PARKING DEPARTMENT PARKMOBILE
PAY BY PHONE STATISTICS
May-15
Users Residents
10%
Type of User Transactions %of Total : r �
Residents 16,301 10% � �
.
Non-Residents 147,456 90% v, -3
Total Transactions 163,757 100% „ �� ;, �`
Wallet
(prepaid) Payment Method
3%
Payment Method Transactions %of Total �,
Visa
78,985 47% S
MasterCard 32,928 20% a
Discover 1,430 1%
AMEX 25,976 17%
Pay Pal 20,473 12% 20
Wallet(prepaid) 3,965 3%
. '
Total 163,757 100%
Discover
1%
$450,000 Parkmobile Revenue
$400,000
$350,000
Month Meter Revenue
October $ 258,891.72 $300,000
November 256,269.15
250 000 �� �`11.1111.111111111---11111111111111 'December 293,808.51
January 325,518.34 $200,000 IIII
February 319,451.82 , as
$150,000
March 399 627.56
April 395,097.41 $100,000
May 409,243.90 $50,000 ill 111 all al
Total $ 2,657,908.41 I 111
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City of Miami Beach
_._ 5th and Alton Parking Garage
Fiscal Year beginning October 1,2014 ending September 30,2015
For the current month ending May 31,2015
CMB
Fiscal
Current Month Note 1 YTD
Total
Revenues/ Edens 54% CMB 46%
Expenses Portion Portion CMB GL Note 2
Operating revenue:
484-8000-344405 5th&Alton Garage-Monthly $ 315.00 $ 170.10 $ 144.90 $ 2,921.00
484-8000-344406 5th&Alton Garage-Transient 41,471.99 22,394.87 19,077.12 135,215.24
484-8000-344410 5th&Alton Garage-Tenant Contribution 24,749.45 13,364.70 11,384.75 96,336.39
484-8000-344587 Valet Parking(Off)-Taxable 60,810.00 32,837.40 27,972.60 215,224.80
484-8000-369999 Miscellaneous Revenue (1,045.00) (564.30) (480.70) 7,314.00
Total operating revenue 126,301.44 68,202.78 58,098.66 457,011.43
Operating expenses:
484-0470-000312 Professional Services 2,083.33 1,125.00 958.33 7,666.64
484-0470-000313 Bank Fees 32.13 17.35 14.78 2,497.98
484-0470-000314 Electricity 1,072.84 579.33 493.51 23,008.56
484-0470-000316 Telephone 584.00 315.36 268.64 3,315.67
484-0470-000317 Water 10,209.60 5,513.18 4,696.42 20,075.55
484-0470-000318 Sewer Charges - - 2,452.67
484-0470-000319 Sanitation Fees 41.76 22.55 19.21 128.02
484-0470-000321 Postage and Shipping 866.03 467.66 398.37 398.37
484-0470-000322 Administration Fees - -
484-0470-000323 Rent-Building&Equipment - -
484-0470-000324 Printing - - 5,934.00
484-0470-000325 Contract Maintenance 31,682.13 17,108.35 14,573.78 148,853.08
484-0470-000327 Advertising - -
484-0470-000329 Storm Water(3) - -
484-0470-000341 Office Supplies - -
484-0470-000342 Repairs/Maintenance Supply 750.00 405.00 345.00 4,753.13
484-0470-000343 Other Operating Expenditures - - - 10,652.84
484-0470-000349 Other Contractual Services 5,410.26 2,921.54 2,488.72 56,738.37
484-0470-000368 Taxes&Licenses - -
484-0470-000375 Misc Insurance 30,309.26 16,367.00 13,942.26 104,233.55
484-0470-000484 Depreciation - - 120,033.16
Total operating expenses 83,041.34 44,842.32 38,199.02 510,741.59_
Nonoperating revenue
484-8000-361130 Interest-Repurchase Agreement 26.29 14.20 12.09 69.26
484-8000-344599 Miscellneous - - 0.00 -
Total nonoperating revenue 26.29 14.20 12.09 69.26
Net income/(loss) 43,286.39 23,374.65 19,911.74 (53,660.90)
Transfers In
Change in net assets 43,286.39 23,374.65 19,911.74 (53,660.90)
Net assets,beginning 538,110.35 290,579.59 247,530.76 13,395,778.76
Net assets,ending $581,396.74 $313,954.24 $267,442.50 $13,342,117.86
Note': Source-Edens Monthly Financial Statements
Note 2:CMB GL 05/20/2014
1
1
MIAMIBEACH
City of Miami Beach, 1700 Convention Center Drive,Miami Beach, Florida 33139,www.miamibeachfl.gov
COMMISSION MEMORANDUM
TO: Mayor Philip Levine and Members of the City Commission
FROM: Jimmy L. Morales, City Manager -
DATE: September 2, 2015
SUBJECT: PARKING STATUS REPORT JUNE 2015
The Parking Department received revenue from different sources outlined in the categories listed
below. In addition, only selected recurring expenses associated with the parking garages are reported
herein.
The following is a condensed presentation of revenue by source and variance:
June 2014 June 2015 $variance
I On/Off Metered Spaces*
On/Off Metered Spaces $ 1,981,465.84 $ 2,231,575.19 $ 250,109.35
Total Metered Spaces $ 1,981,465.84 $ 2,231,575.19 $ 250,109.35
*These amounts include revenue from Pay by Phone Transactions
II Enforcement**
M-D Cty Pkg Violations $ 194,096.40 $ 215,343.12 $ 21,246.72
Towing 40,521.00 59,755.00 19,234.00
Total Enforcement $ 234,617.40 $ 275,098.12 $ 40,480.72
**These amounts include revenue for the month that had not yet posted to EDEN
Meter Revenue: Meter revenue is composed of both single space and multi space meters on the street
and in lots as well as multi space meters located inside the City Hall and 42nd Street Garages. Meter
revenue variances are driven by many variables which include, but are not limited to, road and
sidewalk construction, closed streets and location of events held in the City. When compared to the
prior year, the meter revenue increased due to the completion of construction related projects.
Enforcement: The City receives a share of ticket citations for parking violations that occur in Miami
Beach and are collected by Miami-Dade County. In June of 2014, enforcement staff wrote 800
citations for invalid tags. Enforcement staff is no longer issuing invalid tag citations as directed by the
City's Legal Department. Despite this, citation revenue increased due to the added volume of scans
and accountability provided by the new license plate recognition (LPR) devices and the increase in
enforcement personnel. Towing revenue increased due to the increased enforcement of Freight
Loading Zones (FLZ).
Agenda Item b
Date 9-42-J5-
September 2, 2015
City Commission Memorandum
Parking Status Report-June, 2015
Page 2 of 3
June 2014 June 2015 $variance
Ill Off Street facilities
a Garages
17th Street Garage $ 312,323.91 $ 312,681.26 $ 357.35
Pennsylvania Garage 49,780.64 58,567.22 8,786.58
Sunset Harbour Garage 50,781.35 56,512.99 5,731.64
City Hall Garage 28,380.69 41,668.05 13,287.36
7th Stret Garage 186,748.06 198,879.65 12,131.59
12th Street Garage 42,051.39 44,616.52 2,565.13
13th Street Garage 1 10,070.1 1 107,020.64 (3,049.47)
42nd Street Garage 83,880.22 104,034.29 20,154.07
16th Street Garage 266,908.98 226,409.18 (40,499.80)
Total Garage $ 1,130,925.35 $ 1,150,389.80 $ 19,464.45
b Joint Development*
5th and Alton Garage $ 35,566.03 $ 52,458.06 $ 16,892.03
Total 5th &Alton $ 35,566.03 $ 52,458.06 $ 16,892.03
*46%of total revenue which represents the City's pro-rata share pursuant to the Development Agreement
Garages: Revenues are composed of transient, monthly, and flat rate special event rates. Garage
revenue variances are driven by many variables which include, but are not limited to, special events,
weather, tourism, and maintenance. The decrease in transient revenue for 16th Street garage is due, in
part, to refurbishment projects including upper level roof restoration; waterproofing over occupied
retail space; joint replacements, entrance water intrusion mitigation, and painting. Segments of some
of these projects sporadically obstructed access to the garage.
5th and Alton Garage: The 5th and Alton Garage is a joint development (parking garage) with the
"Developer" (Edens) containing 1 ,080 parking spaces. The Developer and City own 54% and 46%
of the parking spaces, respectively, and profit/loss is also shared in the same manner. The City's
revenue portion (46%) for the month of June 2015 is $52,458.06, resulting in total net loss of
($5,140.78). Pursuant to the Development Agreement, the City receives its proportionate share of
profit or must subsidize any loss. The City and Developer continue to jointly pursue initiatives to
promote the use of the garage. These initiatives include but are not limited to "after hours" flat rate
parking; valet parking storage; monthly parking; and strategically placed electronic signage directing
users to the facility. Future considerations include promotional rates for"after hours and park and ride
options to the entertainment districts.
2
September 2, 2015
City Commission Memorandum
Parking Status Report—June, 2015
Page 3 of 3
June 2014 June 2015 $variance
IV Permit Sales
Municipal Monthly Permits $ 5,865.79 $ 7,412.99 $ 1,547.20
Valet&Space Rental 200,949.67 186,194.00 (14,755.67)
Residential and Visitor Permits 28,069.90 31,855.59 3,785.69
Hotel Hang Tags 9,000.00 9,000.00 -
Total Permits $ 243,885.36 $ 234,462.58 $ (9,422.78)
V Preferred Lots
Preferred Lots $ 37,934.58 $ 73,914.38 $ 35,979.80
Total Preferred Lots $ 37,934.58 $ 73,914.38 $ 35,979.80
VI Miscellaneous
Miscellaneous $ 114,142.24 $ 278,687.50 $ 164,545.26
Total Miscellaneous $ 114,142.24 $ 278,687.50 $ 164,545.26
VII Pay by Phone
Pay By Phone Transaction Fees $ 25,086.02 $ 50,738.45 $ 25,652.43
(collected on behalf of Parkmobile)
Total Pay by Phone $ 25,086.02 $ 50,738.45 $ 25,652.43
Permit Sales: The sale of residential and visitor's virtual permits was introduced in fiscal year 2015,
allowing residents to purchase residential permits and visitor permits for their guests online.The virtual
permits are enforced using LPR technology.
Preferred Lot: This lot is located in the front of the Convention Center, and variances are contingent on
convention center special events.
Miscellaneous Revenue: This category consists of other accounts including a revenue share from Deco
Bike, advertising revenue, interest, etc. The increase in miscellaneous revenue was caused by the
receipt of the Deco Bike revenue share forJanuary, February, and March all in the current month. The
City receives a share of the Deco Bike revenue after the first$1 million is exempted per the contracted
terms for the year ending September 30, 2015.
Pay by Phone: The City Commission awarded Parkmobile to provide pay by phone services. Pay by
phone provides enhanced functionality over the in-vehicle parking meter. Miami Beach residents will
continue to enjoy the resident discount on the hourly meter rate, from $1 .75 to $1 .00 per hour (43%
discount), in the South Beach area. Moreover, Parkmobile will assess no transaction fees to Miami
Beach residents for pay by phone service. Parkmobile began services on May 12, 2014. The revenue
shown above represents the transaction fees collected by the City for non-resident transactions and
remitted to Parkmobile in the following month.
4
44.1r
JLM/K':/PDW/SF/BN
f:\ping\$all\b.nussbaum\2014-2015\09 June\parking status report\June 2015 Parking Status Report.doc
3
PARKING DEPARTMENT REVENUE
June-15
Meters Towing&Parking Permit Sales &Space
(SS&MS) Violations Garages&Attended Lots Rentals TOTAL
Jun-14 $ 1,981,465.84 $ 234,617.40 $ 1,130,925.35 $ 243,885.36 $ 3,590,893.95
Jun-15 $ 2,231,575.19 $ 275,098.12 $ 1,150,389.80 $ 234,462.58 $ 3,891,525.69
Diff $ 250,109.35 $ 40,480.72 $ (120,205.13) $ 22,974.81 $ 300,631.74
%Diff 12.62% 17.25% -7.71% 9.33% 8.37%
Revenue 2015
Permit Sales &Space Rentals
6%
Meters
.\,, 57%
Garages&Attended Lots-- j
j
30% ti
S ,. ,, •.
r Towing&Parking Violations
7%
$4,000,000 —"'"
$3,500,000 - "".-.
$3,000,000 °"' -- _. ._
w,... _..._
$2,500,000 "" _,.......
$2,000,000 -i-' _..._...__., ..._,... ■ 14
. _..._.M_..._.__� Jun-
$1,500,000 ''~ .._.__ w...... _ _
Jun-15
$1,000,000 '"� . _ .- ______— _ .._
$500,000 h`° -w_
Meters _.,y..�^ _ >
(SS&MS) Towing& Garages& --I
l
Parking Attended Permit Sales TOTAL
Lots
Violations &Space
Rentals
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VIRTUAL PERMITS
June-15
$3,500 Visitor Permit Revenue
$3,000
Month Revenue $2,500 '
January $ 980.00 $2,000
February 768.00
March 1,191.00 $1,500
April 1,382.00 $1,000 , mow
May 2,074.00 $500 El El IN
June 3,164.00E 4.1
Total $9,559.00 $_ ..F....
January February March April May June
3500
3000
2500
Permits Unique 2000
Month Sold Customers
January 980 185 1500 ----Permits Sold
February 768 171 1000 Unique Customer:
March 1191 260
April 1382 319 500
May 2074 416
0
June 3164 714
c\,),"° •e 4, v.., ,.., 4-
,,, v
PARKING DEPARTMENT METER REVENUE
Meter Revenue % of Usage
June-15
Multi-Space
(Credit Card),
44%
Single Space
r :44 (Coins), 1%
� � Multi-Space
� ; (Coins), 6%
Multi-Space }
(Bills), 28%
Park Mobile,
21%
PARKING DEPARTMENT PARKMOBILE
PAY BY PHONE STATISTICS
June-15
Users Residents
10%
Type of User Transactions %of F t
16 712 Total
Residents 10% � K
Non-Residents 145,647 90%
Total Transactions 162,359 100%
Wallet
(prepaid) Payment Method
3%
R;n Ft
s
Payment Method Transactions % of Total mi. -i. - :Alyk.'444iN\ ^ '
Visa 78,523 47%
MasterCard 32,856 20%
Discover 1,426 1%
AMEX 24,906 17% i`1C
PayPal 20,543 12%
Wallet(prepaid) 4,105 3%
Total 162,359 100%
Discover
1%
$450,000 Parkmobile Revenue
-- ii '11
$400,000
$350,000
III 'Ill II II
Month Meter Revenue
October $ 258,891.72 $300,000
November 256,269.15 II 11 ii IN
December 293,808.51 $250,000
Janua 325,518.34 1:s l
rY $200,000
February 319,451.82
March 399,627.56 $150,000
III III
,:, . iii April 395,097.41 $100,000
11 ' ill
May 409,243.90
June 405,922.97 $50,000
Total $ 3,063,831.38
II
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City of Miami Beach
5th and Alton Parking Garage
Fiscal Year beginning October 1,2014 ending September 30,2015
For the current month ending June 30,2015
CMB
Fiscal
Current Month Note' YTD
Total
Revenues/ Edens 54% CMB 46%
Expenses Portion Portion CMB GL Note 2
Operating revenue:
4.84-8000-344405 5th&Alton Garage-Monthly $ 290.93 $ 157.10 $ 133.83 $ 3,054.83
484-8000-344406 5th&Alton Garage-Transient 31,196.27 16,845.99 14,350.28 149,565.52
484-8000-344410 5th&Alton Garage-Tenant Contribution 24,749.45 13,364.70 11,384.75 107,721.14
484-8000-344587 Valet Parking(Off)-Taxable 63,060.00 34,052.40 29,007.60 244,232.40
484-8000-369999 Miscellaneous Revenue (5,285.00) (2,853.90) (2,431.10) 4,882.90
Total operating revenue 114,011.65 61,566.29 52,445.36 509,456.79
Operating expenses:
484-0470-000312 Professional Services 2,083.33 1,125.00 958.33 8,624.97
484-0470-000313 Bank Fees 895.76 483.71 412.05 2,910.03
4.84-0470-000314 Electricity 7,106.69 3,837.61 3,269.08 26,277.64
484-0470-000316 Telephone 879.11 474.72 404.39 3,720.06
484-0470-000317 Water 10,752.42 5,806.31 4,946.11 25,021.66
484-0470-000318 Sewer Charges - - 2,452.67
484-0470-000319 Sanitation Fees - - 128.02
484-0470-000321 Postage and Shipping - - 398.37
484-0470-000322 Administration Fees - -
484-0470-000323 Rent-Building&Equipment - -
484-0470-000324 Printing - - 5,934.00
484-0470-000325 Contract Maintenance 49,280.00 26,611.20 22,668.80 171,521.88
484-0470-000327 Advertising - -
484-0470-000329 Storm Water(3) - -
484-0470-000341 Office Supplies - -
484-0470-000342 Repairs/Maintenance Supply 1,226.02 662.05 563.97 5,317.10
484-0470-000343 Other Operating Expenditures 960.27 518.55 441.72 11,094.56
484-0470-000349 Other Contractual Services 21,703.44 11,719.86 9,983.58 66,721.95
484-0470-000368 Taxes&Licenses - -
484-0470-000375 Misc Insurance 30,327.83 16,377.03 13,950.80 118,184.35
484-0470-000484 Depreciation - - 180,049.74
Total operating expenses 125,214.87 67,616.04 57,598.83 628,357.00
Nonoperating revenue
484-8000-361130 Interest-Repurchase Agreement 27.60 14.90 12.70 81.96
484-8000-344599 Miscellneous - - 0.00 -
Total nonoperating revenue 27.60 14.90 12.70 81.96
Net income/(loss) (11,175.62) (6,034.85) (5,140.78) (118,818.25)
Transfers In
Change in net assets (11,175.62) (6,034.85) (5,140.78) (118,818.25)
Net assets,beginning 581,396.74 313,954.24 267,442.50 13,395,778.76
Net assets,ending $570,221.12 $307,919.39 $262,301.73 $13,276,960.51
Note': Source-Edens Monthly Financial Statements .
Note 2:CMB GL 05/20/2014
, 1:
i o
11 ,
BEACH
City of Miami Beach, 1700 Convention Center Drive,Miami Beach, Florida 33139,www.miamibeachfl.gov
COMMISSION MEMORANDUM
TO: Mayor Philip Levine and Members of the City Commission
FROM: Jimmy L. Morales, City Manager -�
DATE: September 2, 2015
SUBJECT: INFORMATIONAL REPORT ON ALL EXISTING CITY CONTRACTS FOR
RENEWAL OR EXTENSIONS IN THE NEXT 180 DAYS
On April 18, 2001, the City Commission adopted Resolution No. 2001-24332 providing for
an informational report of all existing City contracts for renewal or extensions, which by
their terms or pursuant to change orders exceed $25,000, and all extensions or renewals of
such contracts, to be presented to the Mayor and City Commission at least 180 days prior
to the contract extension or renewal date of each contract.
The Administration, in addition to reporting on all existing City contracts, has included
information relative to Miami-Dade County, State of Florida, U.S. Communities and Federal
GSA contracts that are approved for utilization by the City Manager, pursuant to Section 2-
369 of the City Code.
Please see attached informational report.
JLM/ /
F:\PURC\$ALL\REPORTS\Monthly Reports\FY 2015\180 Day Report\Sept 2015-180 Day Report.doc
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Attachment A
2014-315
SE FLORIDA GOVERNMENTAL PURCHASING CO-OP GROUP CONTRACT NO.: T-36-13
SUPERIOR MULCH EAST COAST MULCH
FORESTRY RESOURCES FIS OUTDOOR
LANDSCAPE PRODUCTS
2014-354
STATE OF FLORIDA CONTRACT NO.: 250-WSCA-10-ACS
APPLE HP
DELL LENOVO
EMC NETAPP, INC.
FUJITSU PANASONIC
2014-356
STATE OF FLORIDA CONTRACT NO 680-050-12-1
AERKO INTERNATIONAL AMTEC LESS LETHAL SYSTEMS, INC.
COMBINED SYSTEMS, INC. DANA SAFETY SUPPLY
LAWMEN'S &SHOOTERS SUPPLY, INC. SAFARILAND, LLC
SAGE CONTROL ORDINANCE, INC. SECURITY EQUIPMENT CORPORATION
2015-045
MIAMI DADE COUNTY CONTRACT NO.: 9303-1/20
REYCO INC AGRIUM ADVANCED TECHNOLOGIES U S INC
WINFIELD SOLUTIONS LLC HARRELLS LLC
CLARKE MOSQUITO CONTROL PRODUCTS INC JOHN DEERE LANDSCAPES INC
C W C ENTERPRISES INC HOWARD FERTILIZER&CHEMICAL CO INC
ADAPCO INC HELENA CHEMICAL CO
2015-042
MIAMI DADE COUNTY CONTRACT NO 9085-4/15-4
LA COLMENA LOCKSMITH LLC (AMERICAN SECURITY GROUP A 1 INC
2015-143
FLORIDA SHERIFFS ASSOCIATION CONTRACT NO 14-12-0904
ACF STANDBY SYSTEMS, LLC ATMAX EQUIPMENT CO.
AG PRO COMPANIES AUTONATION CHRYSLER DODGE JEEP RAM
PEMBROKE
PINES
ALAMO INDUSTRIAL BAD BOY MOWERS
ALAN JAY CHEVROLET BUICK GMC CADILLAC BECK AUTO SALES, INC.
ALAN JAY CHRYSLER, DODGE,JEEP OF ARS POWERSPORTS
WAUCHULA
CLARK EQUIPMENT(DOOSAN) CLARK EQUIPMENT D/B/A BOBCAT 1
Attachment A
COASTAL MACHINERY COMPANY CONSTRUCTION SALES, INC.
CONTAINER SYSTEMS & EQUIPMENT CO., INC. COWIN EQUIPMENT COMPANY
CREEL TRACTOR COMPANY ENVIRONMENTAL PRODUCTS OF FLORIDA CORP.
EVERGLADES FARM EQUIPMENT FEDERAL CONTRACTS
FLAGLER CONSTRUCTION EQUIPMENT, LLC FLORIDA COAST EQUIPMENT, INC.
FUTCH'S TRACTOR DEPOT, INC. G S EQUIPMENT, INC.
HALE TRAILER BRAKE&WHEEL GHC MOTORSPORTS
HALL-MARK FIRE APPARATUS, INC. GLADE&GROVE SUPPLY CO.
HOLLAND PUMP GOLF&ELECTRIC VEHICLES
ISUZU TRUCK OF OCALA GROWERS EQUIPMENT CO.
KELLY TRACTOR CO. GENERAL TRUCK EQUIPMENT AND TRAILER SALES
KENWORTH OF CENTRAL FLORIDA KENWORTH OF JACKSONVILLE, INC.
MESSINA TRUCK CENTER KENWORTH OF SOUTH FLORIDA
MID FLORIDA DIESEL, INC. LINDER INDUSTRIAL MACHINERY
NEXTRAN TRUCK CENTER-TAMPA LOU BACHRODT FREIGHTLINER
NORTRAX, INC. MAUDLIN INTERNATIONAL TRUCKS
OCALA TRACTOR MENZI USA SALES, INC.
ORLANDO FREIGHTLINER PALM PETERBILT TRUCK CENTERS
RUSH TRUCK CENTERS OF FLORIDA, INC. PALMETTO FORD TRUCK SALES, INC.
SARASOTA FUN MACHINES _ PANTROPIC POWER
SOUTHERN SEWER EQUIPMENT SALES _ PAT'S PUMP&BLOWER
SOUTHERN STATES TOTALLIFT RECHTIEN INTERNATIONAL TRUCKS
SUN STATE INTERNATION TRUCKS, LLC RING POWER CORPORATION
TAMPA TRUCK CENTER, LLC ROBINSON EQUIPMENT CO., INC.
TERRAIN KING TEXAS TRAILERS SALES &SERVICE
TRUCKS &PARTS OF TAMPA, INC. THOMPSON PUMP&MFG. CO., INC.
VERMEER SOUTHEAST TRADEWINDS POWER CORP.
2015-148
'FLORIDA SHERIFFS ASSOCIATION CONTRACT NO.: 14-22-0904
ALAN JAY CHEVROLET BUICK GMC CADILLAC AUTONATION CHEVROLET OF.PEMBROKE PINES
ALAN JAY FORD LINCOLN AUTONATION CHRYSLER DODGE JEEP RAM
PEMBROKE PINES
ALAN JAY NISSAN, INC. BECK AUTO SALES, INC.
BECK NISSAN, INC. ALAN JAY TOYOTA
DAYTONA HARLEY-DAVIDSON ALAN JAY CHRYSLER, DODGE,JEEP OF WAUCHULA
DON REID FORD, INC. GREENTECH AUTOMOTIVE
DUVAL FORD ORLANDO FREIGHTLINER
GARBER CHEVROLET BUICK GMC TRUCK ROUNTREE-MOORE CHEVROLET CADILLAC NISSAN
GARBER CHRYSLER DODGE JEEP RAM ROUNTREE-MOORE TOYOTA
GHC MOTORSPORTS STINGRAY CHEVROLET
GOLF& ELECTRIC VEHICLES TAMPA TRUCK CENTER, LLC
WBG ENTERPRISES, LLC
ITB-40-11/12
FENCING SERVICES
ARTEMISA FENCE (RONALD M. GIBBONS, INC.
RFQ-19-11/12
PUBLIC INFORMATION SERVICES
2
Attach ment A
QUEST CORPORATION OF INFINITE SOURCE COMMUNIC GROUP
MEDIA RELATIONS GROUP,LLC
RFQ -52-11/12
VARIOUS CEI SERVICES ON AS NEEDED BASIS
STANTEC CONSULTING SERVICES
CATKINS NORTH AMERICA, INC.
CHEN MOORE AND ASSOCIATES, INC BERMELLO,AJAMIL&PARTNERS
PARSONS BRINCKERHOFF INC
2015-094
CITY OF BOYNTON BEACH C - 12/DJL
SUNSET SOD SOUTH FLORIDA GRASSING, INC.
TROPIC LANDSCAPE NURSERY
liMi013-369
TATE OF FLORIDA CONTRACT NO.: 445-001-11-ACS
likFASTENAL COMPANY JIM&SLIMS Tool Supply
TROPIC LANDSCAPE NURSERY W/W GRAINGER
2015-147
STATE OF FLORIDA CONTRACT NO 25100000-15-1
ALAN JAY CHEVROLET CADILLAC, INC. d/b/a ALAN ALAN JAY FORD LINCOLN MERCURY, INC.
JAY CHEVROLET BUICK GMC CADILLAC
ALAN JAY IMPORT CENTER, INC. d/b/a ALAN JAY AUTONATION CHRYSLER DADGE JEEP RAM
TOYOTA PEMBROKE PINES
CRUISE CAR, INC. DAYTONA HARLEY-DAVIDSON
DON REID FORD, INC. DUVAL FORD LLC
GARBER CHEVROLET BUICK GMC TRUCK GARBER CHRYSLER DODGE TRUCK, INC.
GATORMOTO UTILITY VEHICLES & MORE LLC DBA MOORE FAMILY MANAGEMENT LLC DBA ROUNTREE-
MOTO ELECTRIC MOORE CHEVROLET CADILLAC, NISSAN
ROUNTREE MOORE MOTORS, LLP DBA ROUNTREE- TAMPA TRUCK CENTER, LLC
MOORE TOYOTA
2013-156
MIAMI-DADE COUNTY CONTRACT NO 6582-5/16
CORDEL CORPORATION TOOL PLACE CORPORATION
SUNSHINE PLUMBING PLUSCO
PALMETTO HARDWARE MSC INDUSTRIAL
MSC INDUSTRIAL LION PLUMBING
LEHMAN PIPE J.A. SEXAUER
IVACO HD SUPPLY
FLORIDA HARDWARE FERGUSON
F.M. SHELTON BOND SUPPLY
BEST PLUMBING AMERICAN PLUMBING &ELECTRICAL SUPPLY
QUIGAR ELECTRIC INC. AAA TOOL
3
Attachment A
2013-439
MIAMI-DADE COUNTY CONTRACT NO.: 7936-0/15
AMERICAN FASTERNERS CORPORATION BOBS BARRICADES, INC.
EQUICROSS, INC. I
2014-312
CITY OF MIAMI CONTRACT NO.: 132102
SLACK, JOHNSTON, MAGENHEIMER, INC. APPRAISAL FIRST, INC.
FEDERAL APPRAISAL AND CONSULTING, LLC PHILIP G. SPOOL
WARONKER& ROSEN, INC. T.F. MAGENHEIMER APPRAISAL, INC.
JOSEPH J. BLAKE&ASSOCIATES, INC. HEMISPHERE REAL ESTATE, INC.
ARMADA APPRAISAL CO. PENA APPRAISAL SERVICES, INC.
INVESTORS RESEARCH ASSOCIATES, INC. INTEGRA REALTY RESOURCES
QUINLIVAN APPRAISAL
•
2013-238
MIAMI-DADE COUNTY CONTRACT NO.: 1070-5/14-4
UNI SELECT USA INC JD DISTRIBUTORS AUTOMOTIVE SUPPLIES INC
GENUINE PARTS CO/DBA NAPA AUTO PARTS ELECTRIC SALES AND SERVICE INC
ARROW MUFFLER CO INC COLD AIR DISTRIBUTORS WAREHOUSE OF
PALM TRUCK CENTERS INC D&L AUTO&MARINE SUPPLIES INC
TRUCKMAX INC
2015-164
CITY OF MIAMI CONTRACT NO.: 379310 (18)
ROAD SAFE TRAFFIC SYSTEMS, INC. BOBS BARRICADES, INC.
201 -
MIAMI-DADE COUNTY CONTRACT NO.: 8318-5/17
B.V. OIL COMPANY BLAYLOCK OIL COMPANY
BURCK OIL COMPANY, INC. FLAMINGO OIL COMPANY
FUCHS LUBRICANTS COMPANY PALMDALE OIL COMPANY, INC.
PALMDALE OIL COMPANY, INC. SANTEX CORPORATION
URBIETA OIL INC.
2013-247
MIAMI-DADE COUNTY CONTRACT NO.: 5380-6/14-1
ACE LAWNMOWER SERVICE, INC. ALL DADE LAWNMOWERS, INC.
ADVANTAGE GOLF CARS, INC. ALTEKCO, INC.
SBL FREIGHTLINER, LLC. DBA LOU BACHRODT KELLY TRACTOR CO.
FREIGHTLINER
BLANCHARD MACHINERY, INC. B&B WELDING & MACHINE
BOBCAT OF MIAMI, LLC. B&G AUTO PARTS WAREHOUSE, INC
CLARKE WASTE SYSTEMS, INC. DIESEL POWER& INJECTION, INC.
4
Attachment A
DYNAMIC POWER HYDRAULIC, INC. DYNATEST CONSULTING, INC.
SOUTH FLORIDA NEW HOLLAND E. J. WARD, INC.
ELECTRIC SALES &SERVICE, INC. _ ENVIRONMENTAL PRODUCTS OF FLORIDA, CORP.
IN
FLORIDA TRANSPORTATION SYSTEMS, C. _ STEWART AND STEVENSON FDDA, LLC. DBA FLORIDA
DIESEL-ALLISON
FLORIDA MUNICIPAL EQUIPMENT, INC. MR. LIFT TRUCK, INC.
BROYHILL MANUFACTURING COMPANY GENUINE PARTS CO. D/B/A NAPA AUTO PARTS
GROWERS EQUIPMENT COMPANY GS EQUIPMENT, INC.
ROSENBAUER MINNESOTA LLC HYDRAULIC ASSOCIATES, INC.
KASSBOHRER ALL TERRAIN VEHICLES, INC. GROENEVELD ATLANTIC SOUTH, INC.
WARREN EQUIPMENT, INC. HYDRAULIC TECHNICIAN INC.
HYDRAULIC SALES &SERVICE, INC. HORIZON DISTRIBUTORS
BRIGGS EQUIPMENT, INC. KNAPHEIDE TRUCK EQUIPMENT COMPANY
PAT'S PUMP AND BLOWER, LLC KVP ENTERPRISES INC.
FLORIDA UTILITY TRAILERS, INC. MUNICIPAL EQUIPMENT COMPANY, LLC
SMORACY, LLC NATIONAL LIFT TRUCK SERVICE, INC.
CCC HEAVY DUTY TRUCK PARTS COMPANY NEXTRAN CORPORATION
NORTRAX, INC. OLD DOMINION BRUSH COMPANY
NOSA, INC. D/B/A PALMETTO MOTORSPORTS PALM TRUCK CENTERS INC
HALL-MARK FIRE APPARATUS, INC. PALMETTO FORD TRUCK SALES INC
PANTROPIC POWER, INC. PETERSON'S HARLEY-DAVIDSON OF MIAMI, LLC
ALTEC INDUSTRIES, INC. POWER BRAKE EXCHANGE, INC.
RECHTIEN INTERNATIONAL TRUCKS, INC. RICHARDS TRACTORS&IMPLEMENTS, INC.
RING POWER CORPORATION ROSE SPRING CORPORATION
FLAGLER CONSTRUCTION EQUIPMENT, INC. RF SCHOOL BUS PARTS, INC.
SSES INC. D/B/A SOUTHERN SEWER EQUIPMENT STAMM MANUFACTURING A DIVISION OF WORLD
SERVICE INDUSTRIAL EQUIPMENT
GEFCO, INC. SUNBELT HYDRAULICS &EQUIPMENT, INC
TENNANT SALES AND SERVICE COMPANY TOTAL TRUCK PARTS INC.
T P INVESTMENTS GROUP LLC D/B/A KENWORTH TRUCKMAX, INC.
OF SOUTH FLORIDA
TEN-8 FIRE EQUIPMENT, INC. W.E. JOHNSON EQUIPMENT
BROWN BEAR CORP POWER MOWER CORP/POWER MOWER SALES
HYDRADYNE, LLC. GOLF VENTURES, INC.
TIM HALPIN EQUIPMENT CORP. BUS AIR MANUFACTURING, LLC.
2013-332
STATE OF FLORIDA CONTRACT NO.: 760-000-10-1
EQUIPMENT AND SERVICES JOHN DEERE CONSTRUCTION RETAIL SALES
ALAMO INDUSTRIAL DBA ALAMO SALES CORP. KELLY TRACTOR CO.
AMERICAN SPORTWORKS LLC LIVE OAK LAWN SUPPLY, INC. (R)
ARIENS COMPANY-GRAVELY MAGIC CIRCLE CORPORATION DBA DIXIE CHOPPER
BOBCAT COMPANY NORTRAX EQUIPMENT COMPANY SE LP
CNH AMERICA LLC RING POWER CORPORATION
EXCEL INDUSTRIES INC. DBA HUSTLER TURF
EQUIPMENT ROBINSON OUTDOORS, INC
FLORIDA OUTDOOR EQUIPMENT, INC. SARLO POWER MOWERS, INC.
GOLF VENTURES STIHL SOUTHEAST, INC.
GRADALL INDUSTRIES, INC. TREKKER TRACTOR, LLC
G S EQUIPMENT, INC. TRIPLE D EQUIPMENT, INC.
GULF COAST TURF AND TRACTOR LLC DBA GULF
COAST TRACTOR AND EQUIPMENT WESCO TURF,
JOHN DEERE COMPANY - A DIVISION OF DEERE &
COMPANY(C&CE DIVISION)
5
Attachment A
2014-337
MIAMI-DADE COUNTY CONTRACT NO.: 5380-6/14-6
ACE LAWNMOWER SERVICE, INC. ALL DADE LAWNMOWERS, INC.
ADVANTAGE GOLF CARS, INC. ALTEKCO, INC.
SBL FREIGHTLINER, LLC. DBA LOU BACHRODT KELLY TRACTOR CO.
FREIGHTLINER
BLANCHARD MACHINERY, INC. B&B WELDING & MACHINE
BOBCAT OF MIAMI, LLC. B&G AUTO PARTS WAREHOUSE, INC
CLARKE WASTE SYSTEMS, INC. DIESEL POWER& INJECTION, INC.
DYNAMIC POWER HYDRAULIC, INC. DYNATEST CONSULTING, INC.
SOUTH FLORIDA NEW HOLLAND E. J.WARD, INC.
ELECTRIC SALES &SERVICE, INC. ENVIRONMENTAL PRODUCTS OF FLORIDA, CORP.
FLORIDA TRANSPORTATION SYSTEMS, INC. STEWART AND STEVENSON FDDA, LLC. DBA FLORIDA
DIESEL-ALLISON
FLORIDA MUNICIPAL EQUIPMENT, INC. MR. LIFT TRUCK, INC.
BROYHILL MANUFACTURING COMPANY GENUINE PARTS CO. D/B/A NAPA AUTO PARTS
GROWERS EQUIPMENT COMPANY GS EQUIPMENT, INC.
ROSENBAUER MINNESOTA LLC HYDRAULIC ASSOCIATES, INC.
KASSBOHRER ALL TERRAIN VEHICLES, INC. GROENEVELD ATLANTIC SOUTH, INC.
WARREN EQUIPMENT, INC. HYDRAULIC TECHNICIAN INC.
HYDRAULIC SALES&SERVICE, INC. HORIZON DISTRIBUTORS
BRIGGS EQUIPMENT, INC. KNAPHEIDE TRUCK EQUIPMENT COMPANY
n� Sri r n nr
PAT'S PUMP AND BLOWER, LLC KVP ENTERPRISES INC.
FLORIDA UTILITY TRAILERS, INC. MUNICIPAL EQUIPMENT COMPANY, LLC
SMORACY, LLC NATIONAL LIFT TRUCK SERVICE, INC.
CCC HEAVY DUTY TRUCK PARTS COMPANY NEXTRAN CORPORATION
NORTRAX, INC. OLD DOMINION BRUSH COMPANY
NOSA, INC. D/B/A PALMETTO MOTORSPORTS PALM TRUCK CENTERS INC
HALL-MARK FIRE APPARATUS, INC. PALMETTO FORD TRUCK SALES INC
PANTROPIC POWER, INC. PETERSON'S HARLEY-DAVIDSON OF MIAMI, LLC
ALTEC INDUSTRIES, INC. POWER BRAKE EXCHANGE, INC.
RECHTIEN INTERNATIONAL TRUCKS, INC. RICHARDS TRACTORS & IMPLEMENTS, INC.
RING POWER CORPORATION ROSE SPRING CORPORATION
FLAGLER CONSTRUCTION EQUIPMENT, INC. RF SCHOOL BUS PARTS, INC.
SSES INC. D/B/A SOUTHERN SEWER EQUIPMENT STAMM MANUFACTURING A DIVISION OF WORLD
SERVICE INDUSTRIAL EQUIPMENT
GEFCO, INC. SUNBELT HYDRAULICS&EQUIPMENT, INC
TENNANT SALES AND SERVICE COMPANY TOTAL TRUCK PARTS INC.
T P INVESTMENTS GROUP LLC D/B/A KENWORTH TRUCKMAX, INC.
OF SOUTH FLORIDA
TEN-8 FIRE EQUIPMENT, INC. W.E. JOHNSON EQUIPMENT
BROWN BEAR CORP POWER MOWER CORP/POWER MOWER SALES
HYDRADYNE, LLC. GOLF VENTURES, INC.
TIM HALPIN EQUIPMENT CORP. BUS AIR MANUFACTURING, LLC.
2014-344
REAL TIME CLOSED CAPTIONED
TPUSA- FHCS, INC. AEGIS RAPIDTEXT, INC.
6
Attachment A
RFQ-38-11/12
PROFESSIONAL ENGINEERING SERVICES
ATKINS NORTH AMERICA, INC. CDM SMITH, INC.
IAECOM USA, INC.
• ITB-25-10/11
UNIFORMS AND ACCESSORIES FOR DEPARTMENT
ROYAL T SCREEN PRINTING CORP SWAGO T-SHIRTS, INC.
GLOBAL TRADING INC. CALL UNIFORM WEAR
2013-149
MIAMI-DADE COUNTY CONTRACT NO.: 6750-5/17
PATS PUMP&BLOWER LLC KAMAN INDUSTRIAL TECHNOLOGIES CORP/DBA:
FLORIDA BEARINGS
G&A ENGINEERING &BUSINESS INC BURNETT PROCESS INC
WACO FILTERS CORPORATION TRANE U S INC
INTEGRATED COOLING SOLUTIONS LLC W W GRAINGER INC
NALCO COMPANY TRI-DIM FILTER CORP
HD SUPPLY FACILITIES MAINTENANCE LTD STROMQUIST COMPANY INC
SHELTON SUPPLY INC/DBA: F M SHELTON INC REEVE AIR CONDITIONING INC
THERMO AIR INC AMERICAN PLUMBING SUPPLY CO INC
GEMAIRE DISTRIBUTORS LLC TROPIC SUPPLY INC
MIAMI COMPRESSOR REBUILDERS INC A C ENGINEERING INC
CONDO ELECTRIC INDUSTRIAL SUPPLY INC DESIGN CONTROLS INC
ECONOMIC ELECTRIC MOTORS INC ALLIED CONTROLS INC
F J NUGENT&ASSOCIATES INC UNIVERSAL EQUIPMENT SUPPLIERS INC
MECHANICAL SUPPLIES CORP CENTURY AAA LTD/DBA:AAA SUPPLY
F S D GROUP LLC/DBA: SAEZ DISTRIBUTORS FILTERCLUB OF AMERICA INC
SANUVOX TECHNOLOGIES INC
2014-098
MIAMI DADE COUNTY CONTRACT NO.: 9081-4/14-2
A C ENGINEERING INC PATS PUMP&BLOWER LLC
ALLIED CONTROLS INC REEVE AIR CONDITIONING INC
AMERICAN PLUMBING SUPPLY CO INC D/B/A SHELTON SUPPLY INC D/B/A F M SHELTON INC
AMERICAN PLUMBING & ELECTRICAL SUPPLY
BURNETT PROCESS INC STROMQUIST COMPANY INC
CENTURY AAA LTD D/B/A AAA SUPPLY THERMO AIR INC
CONDO ELECTRIC INDUSTRIAL SUPPLY INC TRANE US INC D/B/A TRANE
DESIGN CONTROLS INC D/B/A DCI SYSTEMS TRI-DIM FILTER CORP
GROUP INC
ECONOMIC ELECTRIC MOTORS INC TROPIC SUPPLY INC
F J NUJENT&ASSOCIATES INC UNIVERSAL EQUIPMENT SUPPLIERS INC
FILTERCLUB OF AMERICA INC W W GRAINGER INC D/B/A GRAINGER
FSD GROUP LLC D/B/A SAEZ DISTRIBUTORS WACO ASSOCIATES INC D/B/A WACO
G &A ENGINEERING &BUSINESS INC KAMAN INDUSTRIAL TECHNOLOGIES CORP D/B/A
FLORIDA BEARINGS
GEMAIRE DISTRIBUTORS LLC MECHANICAL SUPPLIES CORP
HD SUPPLY FACILITES MAINTENANCE LTD MIAMI COMPRESSOR REBUILDERS INC
HVAC/R INTERNATIONAL INC NALCO COMPANY
7
Attachment A
INTEGRATED COOLING SOLUTIONS LLC
RFQ-38-11/12
PROFESSIONAL ENGINEERING SERVICES
CDM SMITH, INC. IAECOM USA, INC.
ITB-48-11/12
FIRE SAFETY, SYS INSPEC AND MONITORING
ALL FIRE SERVICES INC. FIRE ALARM SYSTEMS&SECURITY
TRIANGLE FIRE INC. I
2013-113
ROUTINE AND EMERGENCY REPAIR FOR WA
ENVIROWASTE SERVICES GROUP, INC. LANZO CONSTRUCTION CO. FLORIDA
LAYNE INLINER, INC. IGIANNETTI CONTRACTING, CORP.
2013-245
STATE OF FLORIDA CONTRACT NO.: 120-440-08-1
TNT MARINE MARINA MIKE'S, LLC
8
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s
1915 •2015
MIAMIBEACH
City of Miami Beach, 1700 Convention Center Drive,Miami Beach, Florida 33139,www.miamibeachfl.gov
COMMISSION MEMORANDUM
TO: Mayor Philip Levine and Members of the City Commission
FROM: Jimmy L. Morales, City Manager
DATE:° September 2, 2015
SUBJECT: CIP Monthly Construction Project Update
Attached please find the monthly update for active City of Miami Beach construction projects
under the purview of the CIP Office.
Attachment
Agenda Item O� _
Date 9 --/S-
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1915•2st5
MIAMBEACH
City of Miami Beach, 1700 Convention Center Drive,Miami Beach, Florida 33139,www.miamibeachfl.gov
COMMISSION MEMORANDUM
TO: Mayor Philip Levine and Members of the City Commission
FROM: Jimmy L. Morales, City Manager /j /e/Z-- t#,
DATE: September 2"d, 2015
SUBJECT: REPORT ON EMERGENCY PURCHASES AND UNAUTHORIZED PURCHASES
EMERGENCY PURCHASES. Miami Beach City Code Section 2-396 provides for the City Manager
to waive the requirements for competitive bidding for emergency purchases as defined in the
Code. Pursuant to this provision, emergency purchases exceeding $50,000.00 are to be reported
to the City Commission at its meeting following the emergency.With the discontinuation of the Job
Order Contracting (JOC), the process that was most frequently utilized to procure emergency
response services of a construction-related nature, the need to process emergency purchase
requests has increased. While the Administration considers alternatives to the JOC program for
emergency response services and urgent projects, the emergency purchase request process
outlined in Code allows the City to respond expeditiously to unexpected needs for these services.
The following is a list of emergency purchases for the preceding month. The Emergency Purchase
Request form for each emergency reported is attached.
Nature of Emergency Requestor Contractor Amount
Anthony Trane
HVAC Chiller Repair Kaniewski/Property $79,850
Mana•ement
UNAUTHORIZED PURCHASES. Miami Beach City Code Section 2-393(a) prohibits the purchase
of goods or services unauthorized by the Procurement Division (typically through the issuance of a
Purchase Order with stated purchase authority prior to the receipt of goods or services). In its due
diligence,the Department of Procurement Management(DPM) has identified those purchases that
have been transacted in violation of the stated Code requirement. In those cases, the DPM has
required documentation and justification be provided to the City Manager, through the
Unauthorized Purchase form, who may then, pursuant to Code, consider and authorize the
purchase. Unauthorized purchases exceeding $50,000 are reported to the City Commission at its
meeting following the approval of the Unauthorized Purchase form. Following is a report of
unauthorized purchases for the preceding month. The Unauthorized Purchase form for each
purchase reported is attached.
Nature of Unauthorized Purchase Requestor Contractor Amount
None to Report
JLM \T
T:\AGENEA 2015\April\Procurement\April Emergency and Unauthorized Purchases Report Agenda Item
Date 9-02-/S-
.41 111111111.
NsAWNI■
City of Miami Beach, 1700 Convention Center Drive,Miami Beach, Florida 33139,www.miamibeachfl.gov
COMMISSION MEMORANDUM
TO: Mayor Philip Levine and Members of the City Commission
FROM: Jimmy L. Morales, City Manager a,a •":„,r
DATE: September 2, 2015
SUBJECT: INFORMATIONAL REPORT ON CAPITAL OR INFRASTRUCTURE
PROJECTS AWARDED PURSUANT TO THE NATIONAL JOINT POWERS
ALLIANCE (NJPA) COMPETITVELY SOLICITED CONTRACT FOR
CONSTRUCTION SERVICES
Section 255.20, Florida Statutes exempts construction projects under$300,000 from formal
competitive solicitation requirements. Nonetheless,the Administration believes it is prudent
to establish a process,which includes assuring that qualified contractors are performing the
work and competitive pricing, when awarding projects under the threshold established in
Florida Statutes, while still expediting the award and completion of these projects. With
these goals in mind, the Administration has pursued utilizing a process known as indefinite
quantity contract(IQC)for construction services.The IQC process is used extensively by the
local, state and federal governmental agencies throughout the United States to expedite the
delivery of construction projects. The City Commission, at its April 23, 2014, meeting
approved a recommendation by the Administration to utilize the IQC process to expedite the
delivery of construction projects under$250,000 or for emergency projects as approved by
the City Manager.
The City, as a governmental agency member, is authorized to utilize the IQC contract for
construction services competitively awarded by the National Joint Powers Alliance(NJPA).
Additional information on the NJPA IQC contract is included in the attached Contract Award
Memo which provides guidelines for using the NJPA contract. Following is a list of projects
awarded pursuant to the NJPA IQC contract for construction services for the period since
the prior City Commission meeting.
PROJECT'TITLE 1 IQC No _ VALUE BRIEF SCOPE
Sunset Harbour Repair parapet walls, north &
Parking Garage 029043.00 $207,926.27 south walls. Replace water
intrusion covers. Repair sidewalk.
South Point
Neighborhood 034187.00 $59,511.56 Replace existing street lighting
Electrical Fixture with LED lighting.
Bul• Replacement
JLM °) /YG
F:\PURC\'.ALL\REPORTS\Monthly Reports\FY 2015\IQC\IQC Report-September 2,2015.doc
,'Agenda Item f
Date 9-.2-/S-
REPORT OF THE ITEMIZED REVENUES AND
EXPENDITURES OF THE
MIAMI BEACH REDEVELOPMENT AGENCY'S
CITY CENTER DISTRICT
SOUTH POINTE
(PRE-TERMINATION CARRY FORWARD BALANCES)
FOR THE MONTH OF
JUNE 2015
Agenda Item d
Date 09-02-2015
a___1 1
MIAMIBEACH .
City of Miami Beach, 1700 Convention Center Drive, Miami Beach, Florida 33139,www.miamibeachfl.gov
REDEVELOPMENT AGENCY MEMORANUM
TO: Chairperson and Members of the
Miami Beach Redevelopment Agency
FROM: Jimmy L. Morales, Executive Director Al * 14(''''DATE: September 2, 2015
SUBJECT: Report of the Itemized Revenues and Expenditures of the Miami Beach
Redevelopment Agency's City Center District and the South Pointe (Pre-
Termination Carry Forward Balances) for the Period Ended June 30, 2015.
On July 15, 1998 the Chairman and Members of the Board of the Miami Beach
Redevelopment Agency resolved that an itemized report of the revenues and
expenditures of the Miami Beach Redevelopment Agency, with respect to each
redevelopment area, would be made available to the Chairman and Members of the
Board of the Miami Beach Redevelopment Agency at the end of each month. Currently
the report is provided at the scheduled commission meeting.
As of September 30, 2005, the South Pointe Redevelopment District ceased to be a
redevelopment area within the Miami Beach Redevelopment Agency's jurisdiction. At
that point, the City of Miami Beach assumed the responsibilities for the South Pointe
Area. This report will continue to summarize the capital expenditures incurred for the
South Pointe construction projects that have been appropriated as of September 30,
2005 and that are being paid from the remaining RDA South Pointe TIF balance.
The attached material includes the following:
Section A—South Pointe (Pre-Termination Carry Forward Balances)
• Summary of Accrual Basis Transactions by Project and for the Fiscal Years
Ended September 30, 1988 through 2014 and the Period ended June 30, 2015
• Summary of Operating Activities for the Period Ended June 30, 2015
Section B— City Center District
• Summary of Accrual Basis Transactions by Project and for the Fiscal Years
Ended September 30, 1988 through 2014 and the Period ended June 30, 2015
• Summary of Operating Activities for the Period Ended June 30, 2015
JL . DW:mp
T
SOUTH POINTE
(PRE-TERMINATION CARRY FORWARD BALANCES)
FINANCIAL INFORMATION
FOR THE PERIOD ENDED
JUNE 30, 2015
MIAMIBEACH
City of Miami Beach, 1700 Convention Center Drive,Miami Beach, Florida 33139,www.miamibeachfl.gov
REDEVELOPMENT AGENCY MEMORANUM
TO: Jimmy L. Morales, City Manager
FROM: Patricia D. Walker, Chief Financial Officer •
DATE: September 2, 2015 �•
SUBJECT: South Pointe Financial Information for the Month Ended June 30, 2015
At the July 15, 1998 Commission/Redevelopment Agency meeting a request was made for
monthly financial information for the South Pointe Redevelopment District. As of September
30, 2005, the South Pointe Redevelopment District ceased to be a redevelopment area
within the Miami Beach Redevelopment Agency's jurisdiction. However, this report will
continue to summarize the capital expenditures incurred for the South Pointe construction
projects that have been appropriated as of September 30, 2005 and that are being paid from
the remaining RDA South Pointe TIF balance (pre-termination carry forward balances). The
information has been compiled and is attached.
Historical Financial Information
The summary report included in the attached material reflects that during the period from
October 1, 1987 through June 30, 2015 approximately $120,064,000 of revenues were
received in the South Pointe Area.
The primary sources of these revenues included:
Incremental Ad Valorem tax $ 94,048,269
Bond proceeds 6,860,000
Land sale 5,187,944
Interest income 8,253,346
Rental income 3,169,547
Loan from the City of Miami Beach 1,000,000
State grant 350,000
Various sources 1,194,504
-$ 120,063,610
�"
c�ore committed to priwi ing excellent public service and si.rfchy to a!1 who live. work, (.7n(7 pkwy in our vibrant, tropical, historic community.
On the expenditure side, approximately $113,553,000 has been expended from October 1,
1987 through June 30, 2015.
These approximate expenditures were primarily made in the following areas:
Cobb/Courts Project $ 16,384,670
Debt Service Payments 14,028,441
Portofino Project 12,330,291
South Pointe Streetscape/Park 38,242,891
Administrative Costs 7,403,859
SSDI Project 6,446,941
Marina Project 5,913,256
Community Policing 2,465,482
Washington Avenue 1,541,983
Carner-Mason'Settlement and Other Reimbursements 1,044,733
Miami Beach Community Development Corporation Funding 1,500,000
Agreement—530 Meridian Building —Affordable Housing
Other Project Costs 6,250,172 •
$ 113,552,719
The cash balance as of June 30, 2015 is approximately $7,198,000. This balance consisted
of the following amounts:
Cash Balance $ 766,618
Investments Balance 6,431,160
$ 7,197,778
We ore commuted to providing excellent public service and safety to al!who live, work, and ploy in our vibrant,. tropical. historic community.
Beginning in October, 2014 the South Pointe Pre-Termination Financial Information report is
presented on an accrual basis of accounting. Previous reports were presented on a cash
basis of accounting.
Cash to Accrual Basis Reconciliation
Cash basis cash balance at
September 30, 2014 $ 6,739,374.00
Opening Cash Balance at October 1, 1987 1,041,730.00
Investment Market Value (4,731.00)
Accrual basis cash balance at
September 30, 2014 $ 7,776,373.00
Cash Flow Statement for the Period Ending June 2015
Cash at October 1, 2014 7,776,373.00
Net income (228,483.00)
Change in accounts receivable 3,275.00
Change in accounts payable (29,275.00)
Change in due to other funds (321,385.00)
Change in retainage payable (2,727.00)
Cash at June 30, 2015 $ 7,197,778.00
JLM:PDW:mp
We
are committed to providin9 excellent public service and safety to all who live, work, and play in our vibrant: tropical, historic community.
SUMMARY OF
TRANSACTIONS
FOR THE PERIOD ENDED
JUNE 30, 2015
RDA-South Pointe Pre-Termination Balances
Summary of Accrual Basis Transactions by Project
Fiscal Years 1988-2015
Total
Prior Years FY 2015 Rev./Expenses
REVENUES
Tax increment-City $ 55,162,212 $ $ 55,162,212
Tax increment-County 37,562,671 37,562,671
Tax increment(Interest)-County 26,627 26,627
Tax increment-Children's Trust 1,296,759 1,296,759
Bond proceeds 6,860,000 6,860,000
Cobb Partners-Closing Parcel 1,2 5,187,944 5,187,944
Marina rental income 3,169,547 3,169,547
Interest income 8,249,273 4,073 8,253,346
Loan from City 1,000,000 1,000,000
Grants(Fla. Inland Navig.;shoreline restore.) 350,000 350,000
Other Grants 5,000 5,000
St.sales tax(receipt-income for pmt.to St) 209,358 209,358
Daughters of Israel contrib.-reloc.Mikvah 28,000 28,000
Consulting fee refund-Rahn S.Beach 27,026 27,026
Olympus Hldg.-reimb.Portofino advertsg. 24,405 24,405
Mendelson environ.reimb./refund 10,000 10,000
Regosa Engineering refund-Marina 8,500 8,500
Portofino DRI Payment from Greenberg T. 121,531 121,531
Payment received from Greenberg T.for CMB 23,500 23,500
Payment received from Olympus Holdings, Inc. 96,276 96,276
Payment received from Marquesa, Inc. 2,000 2,000
Contribution from Continuum II for S.Pointe Park 200,000 200,000
Cost of asbestos remediation reimb.-Cobb 5,800 5,800
Miscellaneous income 8,267 8,267
Galbut&Galbut contrib.-reloc.Mikvah 3,500 3,500
Murano Two,Ltd-Cash Bond per Agreement 242,000 242,000
Other(void ck;IRS refund;prior year refund,etc) 179,341 179,341
Total Revenues 120,059,537 4,073 120,063,610
EXPENDITURES
PROJECTS
Cobb/Courts
Land acquisition (9,444,065) (9,444,065)
Legal fees/costs (4,084,795) (4,084,795)
Professional services (886,620) (886,620)
Title insurance (300,000) (300,000)
Demolition (216,805) (216,805)
Appraisal (212,440) (212,440)
Board up/relocation (148,578) (148,578)
Site imprvmt/prep/lot clearg/envir. (589,543) (589,543)
Real estate tax (86,259) (86,259)
Construction (45,000) (45,000)
Utilities relocation (29,046) (29,046)
Adv.due develop.('88);refund bid('89) (20,000) (20,000)
Misc. (321,519) (321,519)
Total Cobb/Courts (16,384,670) - (16,384,670)
Marina
Construction costs (1,594,094) (1,594,094)
Submerged land lease (2,017,803) (2,017,803)
Legal costs (648,698) (648,698)
Professional services (467,017) (467,017)
Parking lot improvements (464,755) (464,755)
1 of 3
•
RDA,-South Pointe Pre-Termination Balances
Summary of Accrual Basis'Transactions by Project
Fiscal Years 1988-.2015'
. Total
Prior Years FY 2015 Rev./Expenses
Pool&deck improvements (285,555) (285,555)
Shoreline restoration (212,526) (212,526)
Site improvements (80,883) (80,883)
Landscaping (80,448) (80,448)
Environmental (18,076) (18,076)
Miscellaneous (43,401) (43,401)
Total Marina (5,913,256) - (5,913,256)
Portofino
Legal costs/closing costs (1,926,558) (1,926,558)
Environmental cleanup (379,268) (379,268)
Appraisal costs (80,518) (80,518)
Professional services (580,992) (580,992)
Utility relocation (1,844,167) (1,844,167)
Advertising (52,594) (52,594)
Miscellaneous('95 incl.$3k-temp svc) (15,784) (15,784)
Yacht Club Lease Agreement (1,284,101) (1,284,101)
Ad Valorem Property Tax-Yacht Club (74,588) (74,588)
Murano Garage Lease Agreement (1,149,437) (1,149,437)
Ad Valorem Property Tax-Murano (85,442) (85,442)
Murano(Marina Garage)Common Area Maintenance (93,247) (93,247) r
Yacht Club Common Area Maintenance (37,893) (37,893)
Murano Grande Lease Agreement (1,844,357) (1,844,357)
Ad Valorem Property Tax-Murano Two (50,600) (50,600)
ICON Lease Agreement (2,585,476) (2,585,476)
Refund of Cash Bond (242,000) (242,000)
Mailing,printing (3,269) (3,269)
Total Portofino (12,330,291) - (12,330,291)
South Pointe Streetscape/Park
Construction costs (23,298,401) (49,754) (23,348,155)
Legal costs (2,614,818) (2,614,818)
Professional services (11,812,241) (11,812,241)
Miscellaneous (467,677) (467,677)
Total South Pointe Streetscape/Park (38,193,137) (49,754) (38,242,891)
SSDI
Legal cost (117,435) (117,435)
Property Taxes SSDI North (92,371) (92,371)
Construction (6,222,118) (6,222,118)
Advance due to developer (15,017) (15,017)
Total SSDI (6,446,941) - (6,446,941)
Other Projects
Fifth St.Beautification (300,000) (300,000)
Beach Colony(I'scape/stscape/site imprvmt) (80,912) (80,912)
Marriott (53,061) (53,061)
Washington Ave. (1,541,983) (1,541,983)
Washington Ave Surface Lot (280,790) (280,790)
Design guidelines (43,708) (43,708)
MBTMA/Mobility (32,225) (32,225)
S. Pointe Zoning (20,819) (20,819)
South Pointe Pier (85,092) (85,092)
Alaska Baywalk (218,323) (218,323)
Victory/Community Gardens (174,477) (174,477)
Washington Park (50,590) (50,590)
2 of 3
RDA-South Pointe Pre-Termination Balances
Summary of Accrual Basis Transactions by Project
Fiscal Years 1988 2015
Total
Prior Years FY 2015 Rev./Expenses
Water/Sewer Pump Station Upgrade (1,064,020) (1,064,020)
Flamingo S.Bid A R.O.W. (402,639) (402,639)
Flamingo Neigh-Lummus (428,246) (428,246)
Flamingo 10g-6St ROW Improvement (3,419) . (28,363) (31,782)
Potamkin Project(5th&Alton) (318,525) (318,525)
Lummus Park (103,916) (103,916)
Wayfinding Project (177,081) (177,081)
Jewish Museum of Florida (500,000) (500,000)
MBCDC Loan-530 Meridian Bldg. (1,500,000) (1,500,000)
First Street Improvement Alton&Wash (5,927) (5,927)
6th&Lenox Infrastructure Project (772,450) (772,450)
Beachwalk II Project (808,397) (24,433) (832,830)
54"Diameter Sewer Force (82,621) (130,006) (212,627)
Miscellaneous (60,132) (60,132)
Total Other Projects (9,109,353) (182,802) (9,292,155)
Total Projects (88,377,648) (232,556) (88,610,204)
Administration
Management Fees (3,942,700) (3,942,700)
Interlocal Agreement (1,716,010) (1,716,010)
Professional services (437,225) (437,225)
Sales tax (211,233) (211,233)
Legal costs (134,623) (134,623)
Bond costs (85,180) (85,180)
Outside Audit fees (98,275) (98,275)
Salaries (47,134) (47,134)
Other (42,196) (42,196)
Temporary staffing (47,695) (47,695)
Office supplies/postage/printing (63,291) (63,291)
TIF to County (22,523) (22,523)
Advertising&Promotion (22,029) (22,029)
Miscellaneous (193,201) (193,201)
Travel&entertainment (16,280) (16,280)
Furniture&fixtures (6,734) (6,734)
Dues&memberships (6,509) (6,509)
Net Premium/Discount on investment (20,187) (20,187)
Accrued interest on investments (290,834) (290,834)
Total Administrative (7,403,859) - (7,403,859)
Debt Service/Loan Repayment (14,028,441) (14,028,441)
Miscellaneous
Carner Mason settlement (946,163) (946,163)
City of Miami Beach(reimburse water main) (74,067) (74,067)
Miscellaneous (24,503) (24,503)
(1,044,733) - (1,044,733)
Community Policing (2,465,482) (2,465,482)
Total expenditures (113,320,163) (232,556) $ (113,552,719)
ENDING BALANCE $ 6,739,374 $ (228,483)
3 of 3
RDA- South Pointe Pre-Termination Balances
Summary of Operating Activities
Year-To-Date and For the Month Ending. June 2015
Year to date
Expenditures Expenditures
RDA South Pointe Capital Proj
379-2333-069357 Capital-Contracts 0.00 49,753.92
Total rwssprdaiv S Pointe Impry Ph 0.00 49,753.92
379-2541-061357 Design-Capital Contracts 0.00 22,644.00
379-2541-069357 Capital-Contracts 0.00 1,789.40
Total Beachwalk II 0.00 24,433.40
379-2737-061357 Design-Capital Contracts 0.00 21,097.21
379-2737-069357 Capital-Contracts 0.00 108,908.80
Total pwc54irsfm 54in Diam Red 0.00 130,006.01
379-2986-061357 Design-Capital Contracts 0.00 28,363.04
Tota pksflaml0g Flamingo 10g-6 St. 0.00 28,363.04
Total Expenditures 0.00 232,556.37
Year to date
RDA South Pointe Capital Proj Revenues Revenues
379-8000-361110 Interest on Investments -1,712.59 -1,212.79
379-8000-361130 Interest-Repurchase Agreement 178.28 554.53
379-8000-361720 Unrealized Gain/Loss-Invest<1 year 0.00 4,731.27
Total Revenues -1,534.31 4,073.01
Total Revenues $ 4,073.01
Total Expenses (232,556.37)
Total Net Income $ (228,483.36)
The Check register for the Redevelopment Agency-South Pointe Pre-Termination is
located at https://secure.miamibeachfl.gov/apvendorviewer/chksearch.aspx
The Monthly Construction Projects update for active South Pointe Pre-Termination is located at
http://www.miamibeachfl.gov/cityclerk/scroll.aspx?id=77106
Page 1 of 1
CITY CENTER
REDEVELOPMENT DISTRICT
FINANCIAL INFORMATION
FOR THE PERIOD ENDED
JUNE 30, 2015
M1AMIBEACH
City of Miami Beach, 1700 Convention Center Drive, Miami Beach, Florida 33139, www.miamibeachfl.gov
REDEVELOPMENT AGENCY MEMORANUM
TO: Jimmy L. Morales, City Manager
FROM: Patricia D. Walker, Chief Financial Officer
DATE: September 2, 2015 /1/1c;-1Cfr
SUBJECT: City Center Redevelopment District Financial Information
For the Period Ended June 30, 2015
At the July 15, 1998 Commission/Redevelopment Agency meeting a request was made
for monthly financial information for the City Center Redevelopment District. The
information has been compiled and is attached.
Historical Financial Information
The summary report included in the attached material, reflects that during the period
from October 1, 1993 through June 30, 2015 approximately $746,035,000 of revenues
were received in the City Center District of the Redevelopment Agency ("RDA"). The
primary sources of these revenues included approximately:
Ad Valorem tax $ 410,291,689
Bond proceeds 108,779,453
Loews Hotel Exercise Option 27,498,975
Resort tax contributions 55,977,581
Draws from the line of credit from the City of Miami Beach 19,190,000
Anchor Garage receipts 40,582,202
Pennsylvania Garage receipts 3,369,257
Royal Palm Land Sale 12,562,278
Interest income 21,948,034
Loews Ground Lease receipts 8,240,984
Anchor Shops receipts 10,173,183
Pennsylvania Shops receipts 1,768,660
Loan from the City of Miami Beach 3,000,000
Contributions from GMCVB toward debt service payments 2,700,000
Reimbursements from other state and local agencies 1,975,762
Contribution from CMB Parking Department 700,000
RDP Royal Palm Ground Lease receipts 470,222
Contribution from New World Symphony 250,000
Cost of Issuance Proceeds-Series 2005 7,476,281
From Various Sources 9,080,068
Total Revenues $ 746,034,629
On the expenditure side, approximately $624,931,000 has been expended from October
1, 1993 through June 30, 2015.
These approximate expenditures were primarily made in the following areas:
Debt Service Payments $ 189,585,479
Convention Center Hotel Project (Loews Hotel) 61,516,007
Lincoln Road/Bass Museum Loan Repayment to CMB 30,467,142
Hotel Garage Project 18,247,976
African-American Hotel Project 12,968,666
Collins Park Cultural Center 17,324,578
Colony Theater 6,618,783
Anchor Garage Operations 28,418,081
Pennsylvania Garage Operations- 2,936,903
Pennsylvania Shop Operations 1,568,019
Administrative Costs 29,864,053
Beachwalk Project 5,233,711
Miami City Ballet 5,859,594
Convention Center Hotel 234,353
Convention Center Improvement 9,552,891
Community Policing 36,051,410
Secondary Pledge Repayments (Resort Tax) 2,385,000
Washington Avenue Streetscapes 3,198,183
Lincoln Road Project 1,443,063
Water& Wastewater Pump Station 1,228,541
R.O.W. Improvements 2,356,207
New World Symphony Grant-In-Aid 15,000,000
Capital Projects Maintenance 12,434,581
City Center Greenspace Management 2,789,947
South Beach Area Property Management 10,082,812
RDA City Center Code Compliance 131,848
RDA City Center Sanitation 2,121,079
Anchor Shops Operations 2,380,159
Cost of Issuance-Series 2005A&B 7,449,107
Movie Theater Project 182,200
Purchase of the Barclay, the Allen and the London House for
M BCDC 14,154,643
Washington Avenue Bridge Restoration Loan
($630,987 — Refunded) 700,000
Other Project Costs 90,445,914
Total Expenditures $ 624,930,930
The cash balance as of June 30, 2015 is approximately $119,107,000. This balance
consisted of the following amounts:
Cash Balance $ 28,250,056
Petty Cash 500
Investments Balance 83,781,524
Debt Service Reserves 7,075,141
$ 119,107,221
Beginning in October, 2014 the City Center Redevelopment District Financial Information
report is presented on an accrual basis of accounting. Previous reports were presented
on a cash basis of accounting.
Cash to Accrual Basis Reconciliation
Cash basis cash balance at
September 30, 2014 $ 101,675,480
Investment Market Value (559,758)
Petty Cash 500
Change from cash to accrual basis (12,970)
Accrual basis cash balance at
September 30, 2014 $ 101,103,252
Cash Flow Statement for the Period Ending June 2015
Cash at October 1, 2014 101,103,252
Net income 19,428,219
Depreciation Expense 595,498
Change in accounts receivable (287,035)
Change in interest 30,145
Change in Due from other funds 656,323
Change in Prepaid Expenses (238,888)
Change in accounts payable (1,671,106)
Change in accrued expenses (415,120)
Change in due to other funds 54,392
Change in Sales Tax Payable 1,452
Change in deferred revenues (51,495)
Change in access card deposit (100,454)
Change in retainage payable 2,038
Cash at June 30, 2015 $ 119,107,221
JLM:PDW:mp
SUMMARY OF
TRANSACTIONS
FOR THE PERIOD ENDED
JUNE 30, 2015
Redevelopment Agency-City Center/Historic Convention Village
Summary of Accrual Basis Transactions by Project
Fiscal Years 1994-2015.
Total
Prior Years FY 2015 Rev/Expenses
REVENUES
Tax increment-County $ 180,393,351 16,198,096 $ 196,591,447
Tax increment-City 178,343,899 20,053,802 198,397,701
Tax increment (Interest)-County 19,057 19,057
Tax increment-Children's Trust 13,441,274 1,842,210 15,283,484
Bond proceeds 108,779,453 108,779,453
Rental income 292,859 292,859
Anchor Garage receipts 37,856,986 2,548,966 40,405,952
Anchor Garage deposit card receipts 30,788 30,788
Anchor Shops rental income 9,384,005 596,134 9,980,139
Anchor Shops rental deposits 193,044 193,044
Pennsylvania Garage receipts 2,647,066 721,951 3,369,017
Pennsylvania Garage deposit card receipts 240 240
Pennsylvania Shops rental income 1,039,720 1,039,720
Pennsylvania Shops rental deposits 171,382 557,558 728,940
Legal settlement 100,000 100,000
Loews Facility Use/Usage Fee 145,462 145,462
Loews Ground Lease Receipts 8,240,984 8,240,984
Loews Hotel-exercise option 27,498,975 27,498,975
RDP Royal Palm Ground Lease Receipts 470,222 470,222
RDP Royal Palm-Sale of Land 12,562,278 12,562,278
New World Symphony Contribution 250,000 250,000
Interest income/Unrealized Gain/Loss Invest 21,105,277 842,757 21,948,034
Resort tax contributions 55,977,581 55,977,581
Cost of Issuance Proceeds-Series 2005 402,221 7,074,060 7,476,281
Bid deposits-hotels 375,000 375,000
Bid deposits-cinema 100,000 100,000
Loan from City 3,000,000 3,000,000
Line of credit from City 19,190,000 19,190,000
Cultural Campus 1,975,762 1,975,762
St. Moritz Hotel-refund/reimbursement 925,450 925,450
Reimbursements(GMCVB/RE taxes/Grants) 3,864,530 3,864,530
St. sales tax(receipt-income for pmt.to St) 2,371,561 2,371,561
Miami City Ballet-Capital 31,698 58,747 90,445
Miami City Ballet Lease/Maint 213,981 47,099 261,080
Anchor Garage insurance reimbursement 26,170 26,170
Real Estate taxes refund 299,056 299,056
Refund Due to/From 1,128,005 1,128,005
Refund-Loews-Water/Sewer Impact Fees 348,319 348,319
Refund-Police Salaries and Wages 844,503 844,503
Miscellaneous/Prior Year Refunds&Voids 1,448,740 4,350 1,453,090
TOTAL REVENUES $ 695,488,899 $ 50,545,730 $ 746,034,629
EXPENDITURES
Projects
African-American Hotel
Appraisal fees (4,200) (4,200)
Bid refund (50,000) (50,000)
Board up (50,995) (50,995)
Construction(soil remediation/tank) (9,800) (9,800)
Delivery (503) (503)
Electric service (422) (422)
Environmental clean up (161,613) (161,613)
Equipment rental (14,815) (14,815)
Fire alarm service (13,870) (13,870)
Hotel negotiation consultant (126,131) (126,131)
1 of 6
Redevelopment Agency-City Center/Historic Convention Village
Summary of Accrual Basis Transactions by Project
Fiscal Years 1994-2015
Total
Prior Years FY 2015 Rev/Expenses
Land acquisition (10,592,060) (10,592,060)
Legal fees/costs (667,871) (667,871)
Lot clearing (16,924) (16,924)
Maintenance (48,173) (48,173)
Miscellaneous (309,495) (309,495)
Owner's representative fees&expenses (293,757) (293,757)
Postage, printing&mailing (4,153) (4,153)
Professional services (144,049) (144,049)
Public notice/advertisement (13,951) (13,951)
Refund of deposits (175,000) (175,000)
Reimbursements (15,799) (15,799)
Relocation (32,400) (32,400)
Security guard service (170,015) (170,015)
Title insurance (25,271) (25,271)
Travel&related expenses (2,159) (2,159)
Water/Sewer(impact fees) (25,240) (25,240)
Total African-American Hotel (12,968,666) - (12,968,666)
Convention Hotel
Administrative fees (5,436) (5,436)
Appraisal fees (67,150) (67,150)
Bid refund (100,000) (100,000)
Bond costs (173,998) (173,998)
Building permit fees (172,451) (172,451)
Construction (33,265,118) (33,265,118)
Delivery (1,778) (1,778)
Demolition (47,361) (47,361)
Environmental clean up (19,556) (19,556)
Equipment rental (24,389) (24,389)
Fire alarm service (600) (600)
Hotel selection/study (263,357) (263,357)
Hotel negotiation consultant (723,112) (723,112)
Land acquisition (20,673,575) (20,673,575)
Legal fees/costs (1,026,811) (1,026,811)
Lot clearing (12,407) (12,407)
Maintenance (695) (695)
Miscellaneous (28,063) (28,063)
Owner's representative fee&expenses (1,218,615) (1,218,615)
Postage, printing&mailing (15,977) (15,977)
Professional services (275,568) (275,568)
Public notice/advertisement (5,996) (5,996)
Reimburse closing costs to C.M.B. (3,000,000) (3,000,000)
Reimbursements (27,902) (27,902)
Security guard service (26,563) (26,563)
Temporary staffing (3,000) (3,000)
Training, conferences&meetings (1,750) (1,750)
Travel&related expenses (25,800) (25,800)
Water/sewer service (308,979) (308,979)
Total Convention Hotel (61,516,007) - (61,516,007)
Hotel Garage-Construction
Administrative fees (26,248) (26,248)
Appraisal fees (24,913) (24,913)
Board up (9,763) (9,763)
Bond costs (37,442) (37,442)
Building permit fees (818) (818)
Construction draw (13,773,347) (13,773,347)
Delivery (230) (230)
Demolition (155,834) (155,834)
2 of 6
Redevelopment Agency-City Center/Historic Convention Village.
Summary of,Accrual Basis Transactions by Project.
Fiscal Years 1994-2015
Total
Prior Years FY 2015 Rev/Expenses
Electric service (1,554) (1,554)
Equipment rental (360) (360)
Environmental (30,824) (30,824)
Land acquisition (3,312,947) (3,312,947)
Legal fees/costs (239,024) (239,024)
Maintenance (832) (832)
Miscellaneous (36,680) (36,680)
Owner's representative fee&expenses (311,094) (311,094)
Printing (6,915) (6,915)
Professional services (80,094) (80,094)
Public notice/advertisement (6,525) (6,525)
Reimbursement (10,759) (10,759)
Relocation (99,384) (99,384)
Security guard service (81,247) (81,247)
Water/sewer service (1,142) (1,142)
Total Hotel Garage (18,247,976) - (18,247,976)
Movie Theater Project
Appraisal fees (4,500) (4,500)
Bid refund (80,000) (80,000)
Delivery (476) (476)
Equipment rental (4,032) (4,032)
Legal fees (57,299) (57,299)
Miscellaneous (2,913) (2,913)
Professional services (14,380) (14,380)
Refund of deposit (10,000) (10,000)
Traffic parking study (8,600) (8,600)
Total South Beach Cinema (182,200) - (182,200)
Lincoln Road
Appraisal fees (5,000) (5,000)
Delivery (8) (8)
Equipment rental (11,900) (11,900)
Legal fees (10,827) (10,827)
Lot clearing (5,440) (5,440)
Lighting (60,805) (60,805)
Maintenance (195,588) (195,588)
Miscellaneous (582) (582)
Postage, printing&mailing (810) (810)
Professional services (99,553) (99,553)
Reimbursements (23,581) (23,581)
Revitalization (960,522) (960,522)
Repayment of Loan (21,776,959) (21,776,959)
Temporary staffing (66,158) (66,158)
Training, conferences&meetings (1,518) (1,518)
Travel&related expenses (771) (771)
Total Lincoln Road (23,220,022) - (23,220,022)
Beachwalk
Environmental (5,400) (5,400)
Miscellaneous (212,613) (212,613)
Professional services (5,015,698) (5,015,698)
Total Beachwalk (5,233,711) - (5,233,711)
Convention Center
Convention Center Hotel - (234,353) (234,353)
Convention Center Improvement (5,723,464) (3,829,427) (9,552,891)
Total Convention Center (5,723,464) (4,063,780) (9,787,244)
3 of 6
Redevelopment Agency-City Center/Historic Convention Village
Summary of Accrual Basis Transactions by Project
Fiscal Years 1994 2015
Total
Prior Years FY 2015 Rev/Expenses
Collins Park Cultural Center
Appraisal fees (24,605) (24,605)
Environmental (137,515) (137,515)
Land acquisition (6,661,982) (6,661,982)
Construction (7,814,087) (7,814,087)
Legal fees (768,507) (768,507)
Miscellaneous (156,498) (156,498)
Professional services (1,242,704) (1,242,704)
Streetscape (401,312) (401,312)
Utilities (110,168) (110,168)
Children's Feature (7,200) (7,200)
Total Cultural Campus (17,324,578) - (17,324,578)
Other Projects
Bus Prop. Ctr. (159) (159)
Chamber of Commerce Relocation Study (2,000) (2,000)
Colony Theater-Stage Lighting-Coils Repl (6,581,183) (37,600) (6,618,783)
Construction of Library (14,586) (14,586)
East/West Corridor (88) (88)
Electrowave (3,161) (3,161)
Garden Center (3,077) (3,077)
Guidelines (12,450) (12,450)
Old City Hall (499) (499)
17th Street Surface Lot (256,887) (256,887)
10A Surface Lot-Lennox (382,854) (382,854)
Streetscapes (324,849) (324,849)
6th Street Streetscape (577) (577)
Botanical Gardens (356,552) (356,552)
Transportation Mobility Study (32,225) (32,225)
Convention Center Streetscape (2,202,353) (44,884) (2,247,237)
New World Symphony (21,591,976) (21,591,976)
New World Symphony-Lincoln Park (14,440,890) (14,440,890)
Washington Avenue Streetscape (3,198,183) (3,198,183)
Rotunda/Collins Park 9/30/2014 (735,652) (735,652)
R.O.W. Improvements (2,356,207) (2,356,207)
Flamingo(16 St.Corridor) (4,721) (4,721)
Flamingo Neigh.South-Bid A (10,186) (10,186)
Flamingo Neigh. Lummus-Bid B (456,047) (456,047)
Flamingo Bid C (13,877) (13,877)
Beachfront Restrooms (431,147) (431,147)
Water&Wastewater Pump Station (1,228,541) (1,228,541)
Miami City Ballet&HVAC (5,859,594) (5,859,594)
Wayfinding Project (348,123) (348,123)
West Ave/Bay Road Neigh. Improve. (687,720) (62,280) (750,000)
Multi-Purpose Building Adj. City Hall (14,762,648) (14,762,648)
Bass Museum (10,252,043) (560,515) (10,812,558)
Bass Museum Hydraulic (2,750) (2,750)
Bass Museum HVAC Improv./Heat Pump (142,781) (5,315) (148,096)
Bass Museum Heat Pump Replacement (49,815) (49,815)
The Barclay,the Allen and the
London House (14,154,643) (14,154,643)
Carl Fisher Renewal and Replacement (131,286) (131,286)
Alleyway Restoration Program (221,632) (221,632)
Lincoln Road Between Lennox and Alton (6,151,710) (21,696) (6,173,406)
City Center Neighborhood Improvement (223,347) (223,347)
Lincoln Road Between Collins/Washington (1,300,155) (123,980) (1,424,135)
Lincoln Road Fountain (4,484) (4,484)
Lincoln Road Mall Accent Light (90,446) (90,446)
4 of 6
Redevelopment Agency-City Center/Historic Convention Village
Summary of Accrual Basis Transactions by Project
Fiscal Years 1994-2015
Total
Prior Years FY 2015 Rev/Expenses
Aluminum Street Lighting Pole 1,369 1,369
Lincoln Road Landscaping (3,959) (54,312) (58,271)
Lincoln Road Uplighting (7,820) (7,820)
Lincoln Road Master Plan (293,916) (293,916)
Little Stage Complex (325,593) (325,593)
Preferred Parking Surface Lot (526,649) (526,649)
Tree Wells Pilot Project (409,571) (409,571)
Washington Ave. Bridge Restoration Loan (700,000) (700,000)
Collins Canal Enhancement Project (1,418,486) (14,196) (1,432,682)
Collins Park Parking Garage-and Land (6,957,704) (167,549) (7,125,253)
Collins Park Ancillary Improvement (39,086) (18,937) (58,023)
CCHV Neighborhood Improvements (11,672,435) (11,672,435)
21st Street Recreational Center Repairs (14,901) (14,901)
Animal Waste Dispensers&Receptacles (25,000) (25,000)
Trash Receptacles (12,400) (12,400)
Pedestrian Countdown Signals (54,868) (54,868)
Maze Project-21st Street&Collins (135,000) (135,000)
Directory Signs in City Center ROW (190,277) (190,277)
Beach Shower Replacement&Renovation (6,355) (6,355)
24"PVC Sanitary Sewer Improvements (315,016) (315,016)
Bicycle Parking Project , (9,013) (9,013)
Total Other Projects (131,575,075) (1,676,973) (133,252,048)
Total Projects (275,991,699) (5,740,753) (281,732,452)
Administration
Administrative fees (225) (225)
Anchor Shops Leasing (134,878) (134,878)
Appraisal fees (7,000) (7,000)
Bond costs/Bond Trustee. Fees (2,200,650) (2,200,650)
Delivery (1,400) (1,400)
Dues&subscriptions (10,830) (10,830)
Facility Usage-Loews Hotel (117,377) (117,377)
Management fees (2,836,300) (2,836,300)
Interlocal Agreement/City Center Operation (20,511,284) (1,039,054) (21,550,338)
Miscellaneous (83,225) (83,225)
Office supplies (45,009) (45,009)
Postage, printing&mailing (50,857) (966) (51,823)
Professional services (1,166,950) (1,166,950)
Parks Maintenance by Parks Department (110,422) (110,422)
Public notice/advertisement l (2,496) (2,496)
Reimbursements (62,184) (62,184)
Sales tax (180,222) (180,222)
Settlement Costs (457,500) (457,500)
Legal Fees(Ongoing Litigation) (267,516) (62,982) (330,498)
Temporary staffing (14,197) ' (14,197)
Training,conferences&meetings (19,294) (19,294)
Travel&related expenses (1,769) (1,769)
Accrued interest on investments (479,466) (479,466)
Total Administration (28,650,629) (1,213,424) (29,864,053)
New World Symphony Grant In Aid (15,000,000) (15,000,000)
Capital projects Maintenance (12,434,581) (12,434,581)
City Center Greenspace Management (2,439,654) (350,293) (2,789,947)
5 of 6
o
Redevelopment Agency City Center/Historic Convention Village
Summary of Accrual Basis Transactions by Project
Fiscal Years 1994-2015
Total
Prior Years FY 2015 Rev/Expenses
South Beach area-'Property Management (9,252,554) (830,258) (10,082,812)
RDA City Center Code Compliance - (131,848) (131,848)
RDA City Center Sanitation - (2,121,079) (2,121,079)
Cost of Issuance Series 2005 A&B (375,047) (7,074,060) (7,449,107)
Debt Service/Loan Repayment (185,016,357) (6,954,122) (191,970,479)
Anchor Garage Operations (25,940,894) (2,477,187) (28,418,081)
Anchor Shops Operation (2,306,464) (73,695) (2,380,159)
Pennsylvania Ave-Garage Operations (2,253,129) (683,774) (2,936,903)
Pennsylvania shops operations (1,339,156) (228,863) (1,568,019)
Community Policing-CCHCV (32,813,255) (3,238,155) (36,051,410)
TOTAL EXPENDITURES (593,813,419) (31,117,511) (624,930,930)
ENDING BALANCE $ 101,675,480 $ 19,428,219
6 of 6
Redevelopment Agency - City Center/Historic Convention Village
Summary of Operating Activity
Year-To-Date and for the Month Ending June 2015
•
165 RDA-Loews/Royal Palm Proceeds
165-8000-361145 Interest Allocated-Pooled Cash 4,074.90 22,945.94
165-8000-362211 Miami City Ballet-Base Rent 0.00 1.00
165-8000-362219 Miami City Ballet-Capital Sub-Accoun 11,875.07 58,746.29
165-8000-362220 Miami City Ballet-Maint.Sub-Account 3,541.60 47,099.22
Total RDA-Loews/Royal Palm Proceeds 19,491.57 128,792.45
•
168 RDA City Center Operations
.168-8000-311400 RDA/Tax Increment-County 0.00 16,198,096.00
168-8000-345920 RDA Tax Increment-City 0.00 20,053,802.00
168-8000-345950 RDA Tax Increment-Other 0.00 1,842,210.00
168-8000-361145 Interest Allocated-Pooled Cash 18,774.21 60,946.06
168-8000-365100 Sale of City Property 3,090.66 3,090.66
168-8000-381400 Transfers In-Resort Tax-1% 0.00 0.00
Total RDA City Center 21,864.87 38,158,144.72
202 RDA City Center Debt Service
202-8000-361130 Interest-Repurchase Agreement 80.35 426.18
202-8000-381200 Transfers In-RDA 0.00 7,074,059.64
Total RDA City Center Debt 80.35 7,074,485.82
365 RDA City Center Projects
365-8000-361110 Interest on Investments -81,821.55 276,103.15
365-8000-361130 Interest-Repurchase Agreement 1,732.92 6,469.61
365-8000-361145 Interest Allocated-Pooled Cash -36,746.16 -144,285.37
365-8000-361720 Unrealized Gain/Loss-Invest<1 year 0.00 300,012.27
365-8000-361760 Unrealized Gain/Loss-Invest>1 year 0.00 259,745.58 .
Total RDA City Center I -116,834.79 698,045.24
463 RDA Anchor Garage 463
463-8000-344587 Valet Parking(Off)-Taxable 6,355.15 249,165.90
463-8000-344598 Over/Under 1.00 -6.00
463-8000-344903 Monthly Permits-Taxable 11,900.00 405,652.03
463-8000-344911 Attended Parking Sales 207,969.32 1,880,058.78
463-8000-361145 Interest Allocated-Pooled Cash 7,859.52 34,441.64
463-8000-369400 REIMBURSEMENTS 14,089.97 14,089.97
463-8000-369999 Miscellaneous 183.71 1,096.67
Total RDA Anchor 248,358.67 2,584,498.99
465 RDA Anchor Shoppe 465
465-8000-361145 Interest Allocated-Pooled Cash 5,156.81 22,091.73
465-8000-362210 Rent/Lease Property-Misc 63,037.45 589,164.35
465-8000-369942 Capital and Maintenance 1,197.51 6,970.16
Total RDA Anchor Shoppe 465 69,391.77 618,226.24
466 RDA Pennsylvania Ave-Shops 466
466-8000-361145 Interest Allocated-Pooled Cash 112.37 669.31
466-8000-362210 Rent/Lease Property-Misc 50,757.50 472,817.50
466-8000-369942 Capital and Maintenance 8,474.00 84,740.00
Total RDA Pennsylvania Ave-Shops 466 59,343.87 558,226.81
467 RDA Pennsylvania Ave-Garage 467
467-8000-344411 Pennsylvania Ave.Garage-Transient 43,153.20 564,552.83
467-8000-344412 Pennsylvania Ave.Garage-Monthly 15,400.00 157,398.04
467-8000-361145 Interest Allocated-Pooled Cash 768.35 3,190.69
467-8000-369999 Miscellaneous 14.02 168:24
Total RDA Pennsylvania Ave-Garage 467 59,335.57 725,309.80
Total Revenues 361,031.88 50,545,730.07
Page 1 of 6
Redevelopment Agency -City Center/Historic Convention Village
Summary of Operating Activity
Year-To-Date and for the Month Ending June 2015
165 RDA-Loews I Royal Palm Proceeds
165-1985-000502 Property Mgmt-Internal Svc 966.09 966.09
Total RDA/City Center 966.09 966.09
165-2814-061357 Design-Capital Contracts 19,618.28 234,353.38
Total pfcconvhot Convention Center Hotel 19,618.28 234,353.38
165-2816-061357 Design-Capital Contracts 28,046.44 3,829,427.31
Total pfcconvctr Convention Center 28,046.44 3,829,427.31
Total RDA-Loews/Re 48,630.81 4,064,746.78
168 RDA City Center Operations
168-0050-000494 Transfer Out-Debt Service 0.00 7,074,059.64
Total Transfers Out 0.00 7,074,059.64
168-0945-000312 Professional Services 50,575.80 110,088.93
168-0945-000342 Contracted Services-Repairs and Mai 0.00 257.58
168-0945-000343 Other Operating Expenditures 0.00 75.00
Total Parks Maintenance by Parks 50,575.80 110,421.51
168-1124-000111 Salaries and Wages 117,850.95 1,016,295.88
168-1124-000132 Shift Differential 1,722.60 18,856.81
168-1124-000135 Overtime -41,128.21 371,850.36
168-1124-000136 Holiday Pay-Overtime 502.07 22,353.44
168-1124-000137 Court Overtime 9,538.76 73,854.73
168-1124-000138 Police/Fire Educational Suppl 617.25 6,148.83
168-1124-000139 Work Above Classification 159.36 1,059.70
168-1124-000153 Allowances 5,872.77 32,874.43
168-1124-000154 Uniforms 881.83 7,602.40
168-1124-000155 Physical Assessment Benefit 500.00 4,000.00
168-1124-000159 Transfers-Pension Obligation 10,000.00 90,000.00
168-1124-000161 Retirement Contributions-Pension 74,083.33 666,749.97
168-1124-000162 Health&Life Insurance 19,487.58 164,677.30
168-1124-000165 Social Security Medicare 2,124.05 22,220.67
168-1124-000168 OPEB pay-as-you-go 13,250.00 119,250.00
168-1124-000316 Telephone 318.73 3,774.98
168-1124-000323 Rent-Building&Equipment 1,120.28 3,360.84
168-1124-000325 Contract Maintenance 0.00 761.00
168-1124-000326 Supplies-Other 13,240.00 13,240.00
168-1124-000341 Supplies-Office 0.00 860.97
168-1124-000342 Contracted Services-Repairs and Mai 0.00 1,789.71
168-1124-000343 Other Operating Expenditures 607.61 16,814.38
168-1124-000349 Other Contractual Services 80,714.50 294,008.79
168-1124-000367 Training&Awards 990.00 990.00
168-1124-000503 Fleet Management-Internal Svc 13,359.63 124,116.15
168-1124-000504 Telecom/Telephone Systems/City Wil 3,416.67 30,750.03
168-1124-000505 Self Insurance-Internal Svc 10,000.00 90,000.00
168-1124-000506 Applications/Computer Hardware/Net, 4,416.67 39,750.03
168-1124-000513 Fleet Accidents-Internal Svc 0.00 143.34
Total Police-CCHCV RDA 343,646.43 3,238,154.74
Page 2 of 6
Redevelopment Agency - City Center/Historic Convention Village
Summary of Operating Activity
Year-To-Date and for the Month,Ending June 2015
168-1985-000312 ' Professional Services 43,987.59 81,640.89
168-1985-000322 Administration Fees 81,000.00 729,000.00
168-1985-000341 Supplies-Office 0.00 532.71
168-1985-000343 Other Operating Expenditures 0.00 200.00
168-1985-000501 Central Services-Internal Svc 237.79 2,221.04
168-1985-000502 Property Mgmt-Internal Svc 42,486.13 225,458.88
Total RDA/City Center 167,711.51 1,039,053.52
168-9963-000111 Salaries and Wages 7,512.58 66,672.46
168-9963-000132 Shift Differential 32.38 243.59
168-9963-000135 Overtime 3,592.31 31,231.04
168-9963-000136 Holiday Pay-Overtime 30.03 4,235.77
168-9963-000153 Allowances 60.90 586.46
•168-9963-000159 Transfers-Pension Obligation 83.33 749.97
168-9963-000161 ' Retirement Contributions-Pension 2,250.00 20,250.00
168-9963-000162 Health&Life Insurance 536.73 4,641.63
168-9963-000164 FICA 0.00 1,774.31
168-9963-000165 Social Security Medicare 159.42 1,462.88
Total RDA Code Compliance 14,257.68 131,848.11
168-9964-000111 Salaries and Wages 16,833.36 135,042.87
168-9964-000132 Shift Differential 0.00 251.68 •
168-9964-000133 Steeplejack 0.00 11.00
168-9964-000135 Overtime 1,672.62 13,452.56
168-9964-000136 Holiday Pay-Overtime 129.44 403.79
168-9964-000139 Work Above Classification 156.32 1,389.68
168-9964-000153 Allowances 47.39 473.04
168-9964-000159 Transfers-Pension Obligation 166.67 1,500.03
168-9964-000161 Retirement Contributions-Pension 9,833.33 88,499.97
168-9964-000162 Health&Life Insurance 2,149.68 16,034.20
168-9964-000163 Workmen's Compensation Pay 41.67 375.03
168-9964-000165 Social Security Medicare 260.18 2,084.38
168-9964-000168 OPEB pay-as-you-go 4,583.33 41,249.97
168-9964-000312 Professional Services 11,116.66 180,858.51
168-9964-000316 Telephone 157.10 599.14
168-9964-000325 Contract Maintenance 26,246.40 87,677.94 •
168-9964-000342 Contracted Services-Repairs and Mai 1,500.00 7,340.81
168-9964-000343 Other Operating Expenditures 0.00 1,260.75
168-9964-000502 Property Mgmt-Internal Svc 13,473.45 221,330.30
168-9964-000503 Fleet Management-Internal Svc 445.77 5,672.68
168-9964-000505 Self Insurance-Internal Svc 2,750.00 24,750.00
Total South Beach Area- 91,563.37 830,258.33
168-9965-000319 Sanitation Fees 0.00 0.00
168-9965-000342 Contracted Services-Repairs and Mai 235,675.70 2,121,078.90
Total RDA City Center 235,675.70 2,121,078.90
Page 3 of 6
Redevelopment Agency City Center/Historic Convention.Village
Summary of Operating Activity
Year-To-Date and for the Month Ending June 2015
168-9966-000111 Salaries and Wages 13,646.88 124,233.19
168-9966-000133 Steeplejack 0.00 41.25
168-9966-000135 Overtime 224.86 3,438.23
168-9966-000136 Holiday Pay-Overtime 10.24 236.24
168-9966-000139 Work Above Classification 128.54 1,458.41
168-9966-000153 Allowances 0.00 21.00
168-9966-000159 Transfers-Pension Obligation 83.33 749.97
168-9966-000161 Retirement Contributions-Pension 4,833.33 43,499.97
168-9966-000162 Health&Life Insurance 2,739.50 27,365.98
168-9966-000165 Social Security Medicare 192.76 1,728.34
168-9966-000168 OPEB pay-as-you-go 1,500.00 13,500.00
168-9966-000312 Professional Services 0.00 43,544.52
168-9966-000316 Telephone 0.00 496.59
168-9966-000325 Contract Maintenance 7,925.92 74,100.31
168-9966-000342 Contracted Services-Repairs and Mai 0.00 269.41
168-9966-000343 Other Operating Expenditures 0.00 15,610.00
Total Greenspace Mgmt.Public 31,285.36 350,293.41
Total RDA City Center Operations 934,715.85 14,895,168.16
202 RDA City Center Debt Service
202-4255-000710 Redemption-L/T Principal 0.00 5,375,000.00
202-4255-000720 Redemption-L/T Interest 0.00 1,579,122.00
Total RDA/City Center Debt 0.00 6,954,122.00
365 RDA City Center Projects
365-2327-069357 Capital-Contracts 0.00 44,884.09
Total City Center RDA-Cony. 0.00 44,884.09
365-2336-069355 Capital-Program Mgmt 0.00 62,280.00
Total rwswestrow West Ave/Bay 0.00 62,280.00
365-2455-069357 Capital-Contracts 0.00 560,514.62
Total pkcbassph2 Bass 0.00 560,514.62
365-2616-069357 Capital-Contracts 223,346.76 223,346.76
Total CCHV Neigh.Improv. 223,346.76 223,346.76
365-2664-069357 Capital-Contracts 928.21 123,979.72
Total Linclon Rd.B/T Collins and Washington 928.21 123,979.72
365-2765-000674 Machinery&Equipment -1,369.06 -1,369.06
Total pwcastrprp Aluminum Streetlighting Pole -1,369.06 -1,369.06
365-2766-069357 Capital-Contracts 16,747.94 54,311.88
Total pkslinrdft Lincoln Rd.Landscaping FY 13 16,747.94 54,311.88
365-2801-061357 Design-Capital Contracts 16,470.74 134,582.23
365-2801-069357 Capital-Contracts 0.00 32,967.00
Total pgmculcamp Collins Park Parking Garage 16,470.74 167,549.23
365-2950-069357 Capital-Contracts 0.00 14,196.00
Total enccollcep Collins Canal Ench.Project 0.00 14,196.00
365-2953-061357 Design-Capital Contracts 0.00 18,936.93
Total rwscollpar Collins Park Ancillary Improv 0.00 18,936.93
365-6203-000674 Machinery&Equipment 0.00 37,600.00
Total rrscolorcc Colont Thtr Cond Coils Repl 0.00 37,600.00
Page 4 of 6
Redevelopment.Agency City Center/Historic Convention Village
Summary of Operating:Activity
Year-To-Date and for the Month Ending June 2015
365-6244-069400 Capital-Litigation Cost 0.00 62,981.45
Total rwscitylfe City Cntr 9A Legal Fees 0.00 62,981.45
365-6246-000312 Professional Services 163,416.00 293,916.00
Total rwslincrmp Lincoln Rd 163,416.00 293,916.00
365-6251-000342 Contracted Services-Repairs and Mai 0.00 5,315.20
Total rrmbashvac-Bass Museum HVAC Control 0.00 5,315.20
365-6253-000674 Machinery&Equipment 0.00 49,815.56
Total rrmbasshpr Bass Museum Heat Pump Replace 0.00 49,815.56
365-6988-000350 Supplies-Construction 0.00 21,696.34
Total pwslinclan Lincoln Rd.L/S Lenox to Wash 0.00 21,696.34
Total RDA City Center Projects 419,540.59 1,739,954.72
463 RDA Anchor Garage 463
463-1990-000312 Professional Services 30,432.05 204,075.56
463-1990-000313 Bank Fees 4,010.23 42,650.69
463-1990-000314 Electricity 0.00 15,977.99
463-1990-000316 Telephone 168.80 1,272.53
463-1990-000317 Water 569.26 5,520.61
463-1990-000318 Sewer Charges 431.11 5,490.08
463-1990-000319 Sanitation Fees 1,940.25 22,074.41
463-1990-000322 Administration Fees 17,666.67 159,000.03
463-1990-000324 Printing 0.00 3,225.00
463-1990-000325 Contract Maintenance 7,756.00 76,005.96
463-1990-000329 Storm Water 1,400.28 11,961.45
463-1990-000342 Contracted Services-Repairs and Mai 775.00 28,973.96
463-1990-000343 Other Operating Expenditures 62,543.00 70,681.50
463-1990-000349 Other Contractual Services 18,444.63 174,508.74
463-1990-000366 Anchor Garage-Facility Usage 149,695.08 374,794.51
463-1990-000368 Taxes&Licenses 0.00 376,438.93
463-1990-000484 Depreciation 113,348.84 340,046.52
463-1990-000502 Property Mgmt-lnternal Svc 4,839.10 76,882.82
•
463-1990-000505 Self Insurance-Internal Svc 7,416.67 66,750.03
Total RDA-Anchor Garage 421,436.97 2,056,331.32
463-2964-069357 Capital-Contracts 0.00 68,800.00
Total rrsancroof Anchor Garage 0.00 68,800.00
463-6201-000676 Renovations 0.00 219,977.00
Total rrsanchrep Anchor Gar Rpr&Upk 0.00 219,977.00
463-6283-000342 Contracted Services-Repairs and Mai 0.00 7,351.00
Total rrsancefis Anchor Garage 0.00 7,351.00
463-6295-000342 Contracted Services-Repairs and Mai 0.00 23,946.00
Total rrsancentr Anchor Garage Entrance Water 0.00 23,946.00
463-6299-000342 Contracted Services-Repairs and Mai 0.00 7,927.00
Total rrsanchand Anchor Garage Hand Rail Repla 0.00 7,927.00
463-6303-000342 Contracted Services-Repairs and Mai 0.00 26,037.00
Total rrsancjoin Anchor Garage Joint Replaceme 0.00 26,037.00
463-6304-000342 Contracted Services-Repairs and Mai 0.00 57,638.00
Total rrsancclea Anchor Garage Pressure Clean 0.00 57,638.00
463-6307-000342 Contracted Services-Repairs and Mai 0.00 9,180.00
Total rrsancwind Anchor Garage Window Replace 0.00 9,180.00
Total RDA-Anchor Garage 421,436.97 2,477,187.32
465 RDA Anchor Shoppe 465
465-1995-000314 Electricity 1,007.42 1,598.23
465-1995-000322 Administration Fees 583.33 5,249.97
465-1995-000343 Other Operating Expenditures 0.00 3,187.95
465-1995-000374 Management Fees-Rent/Leases 123.95 4,111.63
465-1995-000484 Depreciation 13,849.07 41,547.21
465-1995-000505 Self Insurance-Internal Svc 2,000.00 18,000.00
Page 5 of 6
•
• • .Redevelopment Agency-City Center/Historic Convention Village.
•
•
Summary of Operating,Activity - •
.Year-To-Date and for the,Month Ending June 2015 -
Total RDA Anchor Shoppe 465 17,563.77 73,694.99
466 RDA Pennsylvania Ave-Shops 466
466-1997-000322 Administration Fees 4,916.67 44,250.03
466-1997-000343 Other Operating Expenditures 0.00 195.00
466-1997-000374 Management Fees-Rent/Leases 19,083.33 171,749.97
466-1997-000484 Depreciation 4,222.63 12,667.89
Total RDA Pennsylvania Ave-Shops 466 28,222.63 228,862.89
467 RDA Pennsylvania Ave-Garage 467
467-1996-000312 Professional Services 14,611.78 108,167.17
467-1996-000313 Bank Fees 2,046.39 20,184.65
467-1996-000314 Electricity 0.00 16,630.32
467-1996-000317 Water 380.54 3,676.81
467-1996-000318 Sewer Charges 648.55 6,195.89
467-1996-000322 Administration Fees 12,000.01 108,000.09
467-1996-000325 Contract Maintenance 11,940.00 119,492.20
467-1996-000342 Contracted Services-Repairs and Mai 0.00 463.75
467-1996-000343 Other Operating Expenditures 0 44,376.00 52,335.50
467-1996-000349 Other Contractual Services / 7,545.73 47,390.68
467-1996-000484 Depreciation 67,078.93 201,236.79
Total RDA Pennsylvania Ave-Garage 467 160,627.93 683,773.85
Total Expenditures 1,609,301.58 31,117,510.71
Total Revenues $ 50,545,730.07
Total Expenses (31,117,510.71)
Total Net Income $ 19,428,219.36
The Check register for the Redevelopment Agency-City Center Historic Convention Village is located at
https://secure.miamibeachfl.gov/apvendorviewer/chksearch.aspx
The Monthly Construction Projects update for active City Center Historic Convention Village is located at
http://www.miamibeachfl.gov/cityclerk/scroll.aspx?id=81799
•
Page 6 of 6
REPORT OF THE ITEMIZED REVENUES AND
EXPENDITURES OF THE
MIAMI BEACH REDEVELOPMENT AGENCY'S
CITY CENTER DISTRICT
SOUTH POINTE
(PRE-TERMINATION CARRY FORWARD BALANCES)
FOR THE MONTH OF
JULY 2015
Agenda Item h4 --
Date 09-02-2015
0 MIAMIBEACH
City of Miami Beach, 1700 Convention Center Drive, Miami Beach, Florida 33139,www.miamibeachfl.gov
REDEVELOPMENT AGENCY MEMORANUM
TO: Chairperson and Members of the
Miami Beach Redevelopment Agency
FROM: Jimmy L. Morales, Executive Director ff,i °'l
DATE: September 2, 2015
SUBJECT: Report of the Itemized Revenues and Expenditures of the Miami Beach
Redevelopment Agency's City Center District and the South Pointe (Pre-
Termination Carry Forward Balances) for the Period Ended July 31, 2015.
On July 15, 1998 the Chairman and Members of the Board of the Miami Beach
Redevelopment Agency resolved that an itemized report of the revenues and
expenditures of the Miami Beach Redevelopment Agency, with respect to each
redevelopment area, would be made available to the Chairman and Members of the
Board of the Miami Beach Redevelopment Agency at the end of each month. Currently
the report is provided at the scheduled commission meeting.
As of September 30, 2005, the South Pointe Redevelopment District ceased to be a
redevelopment area within the Miami Beach Redevelopment Agency's jurisdiction. At
that point, the City of Miami Beach assumed the responsibilities for the South Pointe
Area. This report will continue to summarize the capital expenditures incurred for the
South Pointe construction projects that have been appropriated as of September 30,
2005 and that are being paid from the remaining RDA South Pointe TIF balance.
The attached material includes the following:
Section A— South Pointe (Pre-Termination Carry Forward Balances)
• Summary of Accrual Basis Transactions by Project and for the Fiscal Years
Ended September 30, 1988 through 2014 and the Period ended July 31, 2015
• Summary of Operating Activities for the Period Ended July 31, 2015
Section B—City Center District
• Summary of Accrual Basis Transactions by Project and for the Fiscal Years
Ended September 30, 1988 through 2014 and the Period ended July 31, 2015
• Summary of Operating Activities for the Period Ended July 31, 2015
JLM:%DW:mp
r,,
SOUTH POINTE
(PRE-TERMINATION CARRY FORWARD BALANCES)
FINANCIAL INFORMATION
FOR THE PERIOD ENDED
JULY 31 , 2015
MIAMIBEACH
City of Miami Beach, 1700 Convention Center Drive,Miami Beach, Florida 33139,www.miamibeachfl.gov
REDEVELOPMENT AGENCY MEMORANUM
TO: Jimmy L. Morales, City Manager
FROM: Patricia D. Walker, Chief Financial Officer
DATE: September 2, 2015 71/'LLA
SUBJECT: South Pointe Financial Information for the Month Ended July 31, 2015
At the July 15, 1998 Commission/Redevelopment Agency meeting a request was made for
monthly financial information for the South Pointe Redevelopment District. As of September
30, 2005, the South Pointe Redevelopment District ceased to be a redevelopment area
within the Miami Beach Redevelopment Agency's jurisdiction. However, this report will
continue to summarize the capital expenditures incurred for the South Pointe construction
projects that have been appropriated as of September 30, 2005 and that are being paid from
the remaining RDA South Pointe TIF balance (pre-termination carry forward balances). The
information has been compiled and is attached.
Historical Financial Information
The summary report included in the attached material reflects that during the period from
October 1, 1987 through July 31, 2015 approximately $120,064,000 of revenues were
received in the South Pointe Area.
The primary sources of these revenues included:
Incremental Ad Valorem tax $ 94,048,269
Bond proceeds 6,860,000
Land sale 5,187,944
Interest income 8,253,230
Rental income 3,169,547
Loan from the City of Miami Beach 1,000,000
State grant 350,000
Various sources 1,194,504
$ 120,063,494
We are committed to providing excellent public service and safety to all who live, work. and play in our vibrant, tropical, historic community.
On the expenditure side, approximately $113,558,000 has been expended from October 1,
1987 through July 31, 2015.
These approximate expenditures were primarily made in the following areas:
Cobb/Courts Project $ 16,384,670
Debt Service Payments 14,028,441
Portofino Project 12,330,291
South Pointe Streetscape/Park 38,261,614
Administrative Costs 7,403,859
SSDI Project 6,446,941
Marina Project 5,913,256
Community Policing 2,465,482
Washington Avenue 1,541,983
Carner-Mason Settlement and Other Reimbursements 1,044,733
Miami Beach Community Development Corporation Funding 1,500,000
Agreement—530 Meridian Building —Affordable Housing
Other Project Costs 6,236,330
$ 113,557,600
The cash balance as of July 31, 2015 is approximately $7,151,851. This balance consisted
of the following amounts:
Cash Balance $ 720,832
Investments Balance 6,431,019
$ 7,151,851
We ore committed to providing excellent public service and safety to oil who live, work, and play in our vibrant, tropical, historic community.
Beginning in October, 2014 the South Pointe Pre-Termination Financial Information report is
presented on an accrual basis of accounting. Previous reports were presented on a cash
basis of accounting.
Cash basis cash balance at
September 30, 2014 $ 6,739,374.00
Opening Cash Balance at October 1, 1987 1,041,730.00
Investment Market Value (4,731.00)
Accrual basis cash balance at
September 30, 2014 $ 7,776,373.00
Cash Flow Statement for the Period Ending July 2015
Cash at October 1, 2014 7,776,373.00
Net income (233,480.00)
Change in accounts receivable 3,275.00
Change in accounts payable (23,305.00)
Change in Due to Other Funds (321,385.00)
Change in retainage payable (49,627.00)
Cash at July 31, 2015 $ 7,151,851.00
JLM:PDW::mp
We are committed to providing excellent public service end solely to oil who live, work. and ploy ill our vibrant, tropical, historic community.
SUMMARY OF
TRANSACTIONS
FOR THE PERIOD ENDED
JULY 31 , 2015
RDA-South Pointe Pre-Termination Balances
Summary of Accrual Basis Transactions by Project
Fiscal Years 1988-2015
Total
Prior Years FY 2015 Rev./Expenses
REVENUES
Tax increment-City $ 55,162,212 $ $ 55,162,212
Tax increment-County 37,562,671 37,562,671
Tax increment(Interest)-County 26,627 26,627
Tax increment-Children's Trust 1,296,759 1,296,759
Bond proceeds 6,860,000 6,860,000
Cobb Partners-Closing Parcel 1,2 5,187,944 5,187,944
Marina rental income 3,169,547 3,169,547
Interest income 8,249,273 3,957 8,253,230
Loan from City 1,000,000 1,000,000
Grants(Fla. Inland Navig.;shoreline restore.) 350,000 350,000
Other Grants 5,000 5,000
St.sales tax(receipt-income for pmt.to St) 209,358 209,358
Daughters of Israel contrib.-reloc.Mikvah 28,000 28,000
Consulting fee refund-Rahn S. Beach 27,026 27,026
Olympus Hldg.-reimb.Portofino advertsg. 24,405 24,405
Mendelson environ.reimb./refund 10,000 10,000
Regosa Engineering refund-Marina 8,500 8,500
Portofino DRI Payment from Greenberg T. 121,531 121,531
Payment received from Greenberg T.for CMB 23,500 23,500
Payment received from Olympus Holdings,Inc. 96,276 96,276
Payment received from Marquesa, Inc. 2,000 2,000
Contribution from Continuum II for S.Pointe Park 200,000 200,000
Cost of asbestos remediation reimb.-Cobb 5,800 5,800
Miscellaneous income 8,267 8,267
Galbut&Galbut contrib.-reloc.Mikvah 3,500 3,500
Murano Two,Ltd-Cash Bond per Agreement 242,000 242,000
Other(void ck; IRS refund;prior year refund,etc) 179,341 179,341
Total Revenues 120,059,537 3,957 120,063,494
EXPENDITURES
PROJECTS
Cobb/Courts
Land acquisition (9,444,065) (9,444,065)
Legal fees/costs (4,084,795) (4,084,795)
Professional services (886,620) (886,620)
Title insurance (300,000) (300,000)
Demolition (216,805) (216,805)
Appraisal (212,440) (212,440)
Board up/relocation (148,578) (148,578)
Site imprvmt/prep/lot clearg/envir. (589,543) (589,543)
Real estate tax (86,259) (86,259)
Construction (45,000) (45,000)
Utilities relocation (29,046) (29,046)
Adv.due develop.('88);refund bid('89) (20,000) (20,000)
Misc. (321,519) (321,519)
Total Cobb/Courts (16,384,670) - (16,384,670)
Marina
Construction costs (1,594,094) (1,594,094)
Submerged land lease (2,017,803) (2,017,803)
Legal costs (648,698) (648,698)
Professional services (467,017) (467,017)
Parking lot improvements (464,755) (464,755)
1 of
RDA-'South Pointe Pre-Termination Balances
Summary of Accrual Basis Transactions by Project
Fiscal Years 1988-2015
Total
Prior Years FY 2015 Rev./Expenses
Pool&deck improvements (285,555) (285,555)
Shoreline restoration (212,526) (212,526)
Site improvements (80,883) (80,883)
Landscaping (80,448) (80,448)
Environmental (18,076) (18,076)
Miscellaneous (43,401) (43,401)
Total Marina (5,913,256) - (5,913,256)
Portofino
Legal costs/closing costs (1,926,558) (1,926,558)
Environmental cleanup (379,268) (379,268) _
Appraisal costs (80,518) (80,518)
Professional services (580,992) (580,992)
Utility relocation (1,844,167) (1,844,167)
Advertising (52,594) (52,594)
Miscellaneous('95 incl.$3k-temp svc) (15,784) (15,784)
Yacht Club Lease Agreement (1,284,101) (1,284,101)
Ad Valorem Property Tax-Yacht Club (74,588) (74,588)
Murano Garage Lease Agreement (1,149,437) (1,149,437)
Ad Valorem Property Tax-Murano (85,442) (85,442)
Murano(Marina Garage)Common Area Maintenance (93,247) (93,247)
Yacht Club Common Area Maintenance (37,893) (37,893)
Murano Grande Lease Agreement (1,844,357) (1,844,357)
Ad Valorem Property Tax-Murano Two (50,600) (50,600)
ICON Lease Agreement (2,585,476) (2,585,476)
Refund of Cash Bond (242,000) (242,000)
Mailing,printing (3,269) (3,269)
Total Portofino (12,330,291) - (12,330,291)
South Pointe Streetscape/Park
Construction costs (23,298,401) (68,477) (23,366,878)
Legal costs (2,614,818) (2,614,818)
Professional services (11,812,241) (11,812,241)
Miscellaneous (467,677) (467,677)
Total South Pointe Streetscape/Park (38,193,137) (68,477) (38,261,614)
SSDI
Legal cost (117,435) (117,435)
Property Taxes SSDI North (92,371) (92,371)
Construction (6,222,118) (6,222,118)
Advance due to developer (15,017) (15,017)
Total SSDI (6,446,941) - (6,446,941)
Other Projects
Fifth St.Beautification (300,000) (300,000)
Beach Colony(I'scape/stscape/site imprvmt) (80,912) (80,912)
Marriott (53,061) (53,061)
Washington Ave. (1,541,983) (1,541,983)
Washington Ave Surface Lot (280,790) (280,790)
Design guidelines (43,708) (43,708)
MBTMA/Mobility (32,225) (32,225)
S.Pointe Zoning (20,819) (20,819)
South Pointe Pier (85,092) (85,092)
Alaska Baywalk (218,323) (218,323)
Victory/Community Gardens (174,477) (174,477)
Washington Park (50,590) (50,590)
2 of 3
RDA South Pointe Pre-Termination Balances
Summary of Accrual Basis Transactions by Project
Fiscal Years 1988-2015
Total
Prior Years FY 2015 Rev./Expenses
Water/Sewer Pump Station Upgrade (1,064,020) (1,064,020)
Flamingo S.Bid A R.O.W. (402,639) (402,639)
Flamingo Neigh-Lummus
•
(428,246) (428,246)
Flamingo 10g-6St ROW Improvement (3,419) (28,363) (31,782)
Potamkin Project(5th&Alton) (318,525) (318,525)
Lummus Park (103,916) (103,916)
Wayfinding Project (177,081) (177,081)
Jewish Museum of Florida (500,000) (500,000)
MBCDC Loan-530 Meridian Bldg. (1,500,000) (1,500,000)
First Street Improvement Alton&Wash (5,927) (5,927)
6th&Lenox Infrastructure Project (772,450) (772,450)
Beachwalk II Project (808,397) (10,591) (818,988)
54"Diameter Sewer Force (82,621) (130,006) (212,627)
Miscellaneous (60,132) (60,132)
Total Other Projects (9,109,353) (168,960) (9,278,313)
Total Projects (88,377,648) (237,437) (88,615,085)
Administration
Management Fees (3,942,700) (3,942,700)
Interlocal Agreement (1,716,010) (1,716,010)
Professional services (437,225) (437,225)
Sales tax (211,233) (211,233)
Legal costs (134,623) (134,623)
Bond costs (85,180) (85,180)
Outside Audit fees (98,275) (98,275)
Salaries (47,134) (47,134)
Other (42,196) (42,196)
Temporary staffing (47,695) (47,695)
Office supplies/postage/printing (63,291) (63,291)
TIF to County (22,523) (22,523)
Advertising&Promotion (22,029) (22,029)
Miscellaneous (193,201) (193,201)
Travel&entertainment (16,280) (16,280)
Furniture&fixtures (6,734) (6,734)
Dues&memberships (6,509) (6,509)
Net Premium/Discount on investment (20,187) (20,187)
Accrued interest on investments (290,834) (290,834)
Total Administrative (7,403,859) - (7,403,859)
Debt Service/Loan Repayment (14,028,441) (14,028,441)
Miscellaneous
Carner Mason settlement (946,163) (946,163)
City of Miami Beach(reimburse water main) (74,067) (74,067)
Miscellaneous (24,503) (24,503)
(1,044,733) - (1,044,733)
Community Policing (2,465,482) (2,465,482)
Total expenditures (113,320,163) (237,437) $ (113,557,600)
ENDING BALANCE $ 6,739,374 $ (233,480)
3of3
RDA - South Pointe Pre-Termination Balances
Summary of Operating Activities
Year-To-Date and For the Month Ending July 2015
Year to Date
Expenditures Expenditures
379 RDA South Pointe Capital Proj
379-2333-069357 Capital-Contracts 18,722.39 68,476.31
Total rwssprdaiv S Pointe Impry Ph III-V 18,722.39 68,476.31
379-2541-061357 Design-Capital Contracts 5,970.16 28,614.16
379-2541-069357 Capital-Contracts -19,812.37 -18,022.97
Total Beachwalk II -13,842.21 10,591.19
379-2737-061357 Design-Capital Contracts 0.00 21,097.21
379-2737-069357 Capital-Contracts 0.00 108,908.80
Total pwc54irsfm 54in Diam Red Sewer Force Mn 0.00 130,006.01
379-2986-061357 Design-Capital Contracts 0.00 28,363.04
Total pksflaml0g Flamingo 10g-6 St.ROW Improv 0.00 28,363.04
Total Expenditures 4,880.18 237,436.55
Year to Date
Revenues Revenues
379 RDA South Pointe Capital Proj
379-8000-361110 Interest on Investments -235.80 -1,448.59
379-8000-361130 Interest-Repurchase Agreement 119.34 673.87
379-8000-361720 Unrealized Gain/Loss-Invest< 1 year 0.00 4,731.27
Total Revenues -116.46 3,956.55
Total Revenues $ 3,956.55
Total Expenses (237,436.55)
Total Net Income $ (233,480.00)
The Check register for the Redevelopment Agency- South Pointe Pre-Termination is
located at https://secure.miamibeachfl.gov/apvendorviewer/chksearch.aspx
The Monthly Construction Projects update for active South Pointe Pre-Termination is located at
http://vvww.miamibeachfl.gov/cityclerk/scroll.aspx?id=77106
Page 1 of 1
CITY CENTER
REDEVELOPMENT DISTRICT
FINANCIAL INFORMATION
FOR THE PERIOD ENDED
JULY 31 , 2015
MIAMIBEACH
City of Miami Beach, 1700 Convention Center Drive, Miami Beach, Florida 33139,www.miamibeachfl.gov
REDEVELOPMENT AGENCY MEMORANUM
TO: Jimmy L. Morales, City Manager
FROM: Patricia D. Walker, Chief Financial Officer
DATE: September 2, 2015 1--,
SUBJECT: City Center Redevelopment District Financial Information
For the Period Ended July 31, 2015
At the July 15, 1998 Commission/Redevelopment Agency meeting a request was made
for monthly financial information for the City Center Redevelopment District. The
information has been compiled and is attached.
Historical Financial Information
The summary report included in the attached material, reflects that during the period
from October 1, 1993 through July 31, 2015 approximately $746,572,000 of revenues
were received in the City Center District of the Redevelopment Agency ("RDA"). The
primary sources of these revenues included approximately:
Ad Valorem tax $ 410,291,689
Bond proceeds 108,779,453
Loews Hotel Exercise Option 27,498,975
Resort tax contributions 55,977,581
Draws from the line of credit from the City of Miami Beach 19,190,000
Anchor Garage receipts 40,974,268
Pennsylvania Garage receipts 3,414,067
Royal Palm Land Sale 12,562,278
Interest income 21,926,999
Loews Ground Lease receipts 8,240,984
Anchor Shops receipts 10,250,796
Pennsylvania Shops receipts 1,827,891
Loan from the City of Miami Beach 3,000,000
Contributions from GMCVB toward debt service payments 2,700,000
Reimbursements from other state and local agencies 1,975,762
Contribution from CMB Parking Department 700,000
RDP Royal Palm Ground Lease receipts 470,222
Contribution from New World Symphony 250,000
Cost of Issuance Proceeds-Series 2005 • 7,476,281
From Various Sources 9,064,495
Total Revenues $ 746,571,741
On the expenditure side, approximately $628,389,000 has been expended from October
1, 1993 through July 31, 2015.
These approximate expenditures were primarily made in the following areas:
Debt Service Payments $ 191,045,460
Convention Center Hotel Project (Loews Hotel) 61,516,007
Lincoln Road/Bass Museum Loan Repayment to CMB 30,467,142
Hotel Garage Project 18,247,976
African-American Hotel Project 12,968,666
Collins Park Cultural Center 17,324,578
Colony Theater 6,618,783
Anchor Garage Operations 28,539,658
Pennsylvania Garage Operations 2,982,860
Pennsylvania Shop Operations 1,644,998
Administrative Costs 30,035,325
Beachwalk Project 5,233,711
Convention Center Hotel 254,380
Convention Center Improvement 10,181,800
Miami City Ballet 5,859,594
Community Policing 36,418,636
Secondary Pledge Repayments (Resort Tax) 2,385,000
Washington Avenue Streetscapes 3,198,183
Lincoln Road Project 1,443,063
Water& Wastewater Pump Station 1,228,541
R.O.W. Improvements 2,356,207
New World Symphony Grant-In-Aid 15,000,000
Capital Projects Maintenance 12,434,581
City Center Greenspace Management 2,891,666
South Beach Area Property Management 10,144,947
RDA City Center Code Compliance 148,331
RDA City Center Sanitation 2,356,754
Anchor Shops Operations 2,385,440
Cost of Issuance-Series 2005A&B 7,449,107
Movie Theater Project 182,200
Purchase of the Barclay, the Allen and the London House for
MBCDC 14,154,643
Washington Avenue Bridge Restoration Loan
($630,987 — Refunded) 700,000
Other Project Costs 90,590,827
Total Expenditures $ 628,389,064
The cash balance as of July 31, 2015 is approximately $116,496,000. This balance
consisted of the following amounts:
Cash Balance $ 27,073,882
Petty Cash 500
Investments Balance 83,806,241
Debt Service Reserves 5,615,221
$ 116,495,844
Beginning in October, 2014 the City Center Redevelopment District Financial Information
report is presented on an accrual basis of accounting. Previous reports were presented
on a cash basis of accounting.
Cash to Accrual Basis Reconciliation
Cash basis cash balance at
September 30, 2014 $ 101,675,480
Investment Market Value (559,758)
Petty Cash 500
Change from cash to accrual basis (12,970)
Accrual basis cash balance at
September 30, 2014 $ 101,103,252
Cash Flow Statement for the Period Ending July 2015
Cash at October 1,2014 101,103,252
Net income 16,507,198
Depreciation Expense 595,498
Change in accounts receivable (334,845)
Change in interest 57,595
Change in Due from other funds 512,647
Change in Prepaid Expenses (157,764)
Change in accounts payable (1,322,660)
Change in accrued expenses (478,018)
Change in due to other funds 163,874
Change in due to other governments 9,530
Change in deferred revenues (51,495)
Change in access card deposit (97,786)
Change in retainage payable (11,182)
Cash at July 31, 2015 $ 116,495,844
JLM:PDW:mp
Redevelopment Agency -City Center/Historic Convention Village
Summary of Operating Activity
Year-To-Date and For The Month.Ending July 2015
Year to Date
Revenues Revenues
165 RDA-Loews/Royal Palm Proceeds
165-8000-361145 Interest Allocated-Pooled Cash 0.00 22,945.94
165-8000-362211 Miami City Ballet-Base Rent 0.00 1.00
165-8000-362219 Miami City Ballet-Capital Sub-Account -13,274.52 45,471.77
165-8000-362220 Miami City Ballet-Maint.Sub-Account -2,356.37 44,742.85
Total RDA-Loews/Royal Palm -15,630.89 113,161.56
168 RDA City Center Operations
168-8000-311400 RDA/Tax Increment-County 0.00 16,198,096.00
168-8000-345920 RDA Tax Increment-City 0.00 20,053,802.00
168-8000-345950 RDA Tax Increment-Other 0.00 1,842,210.00
168-8000-361145 Interest Allocated-Pooled Cash 0.00 60,946.06
168-8000-365100 Sale of City Property 0.00 3,090.66
168-8000-381400 Transfers In-Resort Tax-1% 0.00 0.00
Total RDA City Center 0.00 38,158,144.72
202 RDA City Center Debt Service
202-8000-361130 Interest-Repurchase Agreement 60.95 487.13
202-8000-381200 Transfers In-RDA 0.00 7,074,059.64
Total Transfers In-RDA 60.95 7,074,546.77
365 RDA City Center Projects
365-8000-361110 Interest on Investments -3,061.64 273,041.51
365-8000-361130 Interest-Repurchase Agreement -18,033.99 -11,564.38
365-8000-361145 Interest Allocated-Pooled Cash 0.00 -144,285.37
365-8000-361720 Unrealized Gain/Loss-Invest<1 year 0.00 300,012.27
365-8000-361760 Unrealized Gain/Loss-Invest>1 year 0.00 259,745.58
Total RDA City Center Projects -21,095.63 676,949.61
463 RDA Anchor Garage 463
463-8000-344587 Valet Parking(Off)-Taxable 31,081.31 280,247.21
463-8000-344598 Over/Under 0.00 -6.00
463-8000-344903 Monthly Permits-Taxable 100,300.00 505,952.03
463-8000-344911 Attended Parking Sales 260,091.61 2,140,150.39
463-8000-361145 Interest Allocated-Pooled Cash 0.00 34,441.64
463-8000-369400 REIMBURSEMENTS 592.45 14,682.42
463-8000-369999 Miscellaneous 58.04 1,154.71
Total RDA Anchor Garage 463 392,123.41 2,976,622.40
465 RDA Anchor Shoppe 465
465-8000-361145 Interest Allocated-Pooled Cash 0.00 22,091.73
465-8000-362210 Rent/Lease Property-Misc 70,609.30 659,773.65
465-8000-369942 Capital and Maintenance 7,003.51 13,973.67
Total RDA Anchor Shoppe 465 77,612.81 695,839.05
466 RDA Pennsylvania Ave-Shops 466
466-8000-361145 Interest Allocated-Pooled Cash 0.00 669.31
466-8000-362210 Rent/Lease Property-Misc 50,757.50 523,575.00
466-8000-369942 Capital and Maintenance 8,474.00 93,214.00
Total RDA Pennsylvania Ave-Shops 466 59,231.50 617,458.31
467 RDA Pennsylvania Ave-Garage 467
467-8000-344411 Pennsylvania Ave.Garage-Transient 29,095.27 593,648.10
467-8000-344412 Pennsylvania Ave.Garage-Monthly 15,715.00 173,113.04
467-8000-361145 Interest Allocated-Pooled Cash 0.00 3,190.69
467-8000-369999 Miscellaneous 0.00 168.24
Total RDA Pennsylvania Ave-Garage 467 44,810.27 770,120.07
Total Revenues 537,112.42 51,082,842.49
Page 1 of 6
Redevelopment Agency City Center/Historic Convention Village
Summary of Operating Activity
Year-To-Date and For The,Month Ending July 2015
Year to Date
Expenditures Expenditures
165 RDA-Loews/Royal Palm Proceeds
165-1985-000502 Property Mgmt-lnternal Svc 1,419.42 2,385.51
Total RDA/City Center 1,419.42 2,385.51
165-2814-061357 Design-Capital Contracts 20,026.77 254,380.15
Total pfcconvhot Convention 20,026.77 254,380.15
165-2816-061357 Design-Capital Contracts 628,908.60 4,458,335.91
Total pfcconvctr Convention 628,908.60 4,458,335.91
Total RDA-Loews/Royal Palm 650,354.79 4,715,101.57
168 RDA City Center Operations
168-0050-000494 Transfer Out-Debt Service 0.00 7,074,059.64
Total Transfers Out 0.00 7,074,059.64
168-0945-000312 Professional Services 5,161.38 115,250.31
168-0945-000342 Contracted Services-Repairs and Maint. 0.00 257.58
168-0945-000343 Other Operating Expenditures 0.00 75.00
Total Parks Maintenance by 5,161.38 115,582.89
168-1124-000111 Salaries and Wages 98,359.86 1,114,655.74
168-1124-000132 Shift Differential 1,696.63 20,553.44
168-1124-000135 Overtime 9,472.67 381,323.03
168-1124-000136 Holiday Pay-Overtime 3,084.16 25,437.60
168-1124-000137 Court Overtime 6,471.73 80,326.46
168-1124-000138 Police/Fire Educational Suppl 536.51 6,685.34
168-1124-000139 Work Above Classification 60.64 1,120.34
168-1124-000153 Allowances 5,485.93 38,360.36
168-1124-000154 Uniforms 0.00 7,602.40
168-1124-000155 Physical Assessment Benefit 0.00 4,000.00
168-1124-000159 Transfers-Pension Obligation 10,000.00 100,000.00
168-1124-000161 Retirement Contributions-Pension 74,083.33 740,833.30
168-1124-000162 Health&Life Insurance 7,614.06 172,291.36
168-1124-000165 Social Security Medicare 1,924.02 24,144.69
168-1124-000168 OPEB pay-as-you-go 13,250.00 132,500.00
168-1124-000316 Telephone 364.79 4,139.77
168-1124-000323 Rent-Building&Equipment 560.14 '3,920.98
168-1124-000325 Contract Maintenance 0.00 761.00
168-1124-000326 Supplies-Other 0.00 13,240.00
168-1124-000341 Supplies-Office 0.00 860.97
168-1124-000342 Contracted Services-Repairs and Maint. 105.00 1,894.71
168-1124-000343 Other Operating Expenditures 2,052.60 18,866.98
168-1124-000349 Other Contractual Services 86,506.17 380,514.96
168-1124-000367 Training&Awards 0.00 990.00
168-1124-000503 Fleet Management-Internal Svc 14,176.33 138,292.48
168-1124-000504 Telecom/Telephone Systems/City WiFi 3,416.67 34,166.70
168-1124-000505 Self Insurance-Internal Svc 10,000.00 100,000.00
168-1124-000506 Applications/Computer Hardware/Network 4,416.67 44,166.70
168-1124-000513 Fleet Accidents-Internal Svc 13,588.43 13,731.77
Total Police-CCHCV RDA 367,226.34 3,605,381.08
1 Page 2 of 6
Redevelopment Agency - City Center/Historic Convention Village
Summary of Operating Activity
Year-To-Date and For The Month Ending July 2015
168-1985-000312 Professional Services 48,103.22 129,744.11
168-1985-000322 Administration Fees 81,000.00 810,000.00
168-1985-000341 Supplies-Office 0.00 532.71
168-1985-000343 Other Operating Expenditures 0.00 200.00
168-1985-000501 Central Services-Internal Svc 1,753.35 3,974.39
168-1985-000502 Property Mgmt-lnternal Svc 33,835.76 259,294.64
Total RDA/City Center 164,692.33 1,203,745.85
168-9963-000111 Salaries and Wages 8,219.87 74,892.33
168-9963-000132 Shift Differential 9.70 253.29
168-9963-000135 Overtime 5,272.96 36,504.00
168-9963-000136 Holiday Pay-Overtime 184.47 4,420.24
168-9963-000153 Allowances 51.10 637.56
168-9963-000159 Transfers-Pension Obligation 83.33 833.30
168-9963-000161 Retirement Contributions-Pension 2,250.00 22,500.00
168-9963-000162 Health&Life Insurance 214.49 4,856.12
168-9963-000164 FICA 0.00 1,774.31
168-9963-000165 Social Security Medicare 197.46 1,660.34
Total RDA Code Compliance 16,483.38 148,331.49
168-9964-000111 Salaries and Wages 14,630.84 149,673.71
168-9964-000132 Shift Differential 0.00 251.68
168-9964-000133 Steeplejack 0.00 11.00
168-9964-000135 Overtime 2,703.26 16,155.82
168-9964-000136 Holiday Pay-Overtime 237.37 641.16
168-9964-000139 Work Above Classification 151.68 1,541.36
168-9964-000153 Allowances 57.61 530.65
168-9964-000159 Transfers-Pension Obligation 166.67 1,666.70
168-9964-000161 Retirement Contributions-_Pension 9,833.33 98,333.30
168-9964-000162 Health&Life Insurance 862.08 16,896.28
168-9964-000163 Workmen's Compensation Pay 41.67 416.70
168-9964-000165 Social Security Medicare 252.30 2,336.68
168-9964-000168 OPEB pay-as-you-go 4,583.33 45,833.30
168-9964-000312 Professional Services -11,728.89 169,129.62
168-9964-000316 Telephone 78.80 677.94
168-9964-000325 Contract Maintenance 9,471.59 97,149.53
168-9964-000342 Contracted Services-Repairs and Maint. 0.00 7,340.81
168-9964-000343 Other Operating Expenditures 0.00 1,260.75
168-9964-000502 Property Mgmt-lnternal Svc 27,578.57 248,908.87
168-9964-000503 Fleet Management-Internal Svc 464.73 6,137.41
168-9964-000505 Self Insurance-Internal Svc 2,750.00 27,500.00
Total South Beach Area- 62,134.94 892,393.27
168-9965-000319 Sanitation Fees 0.00 0.00
168-9965-000342 Contracted Services-Repairs and Maint. 235,675.50 2,356,754.40
Total RDA City Center 235,675.50 2,356,754.40
168-9966-000111 Salaries and Wages . 12,174.11 136,407.30
168-9966-000133 Steeplejack 0.00 41.25
168-9966-000135 Overtime 360.70 3,798.93
168-9966-000136 Holiday Pay-Overtime 62.91 299.15
168-9966-000139, Work Above Classification 123.46 1,581.87
168-9966-000153 Allowances 0.00 21.00
168-9966-000159 Transfers-Pension Obligation 83.33 833.30
168-9966-000161 Retirement Contributions-Pension 4,833.33 48,333.30
168-9966-000162 Health&Life Insurance 1,097.94 28,463.92
Page 3 of 6
Redevelopment,Agency City Center/Historic Convention Village
Summary of Operating Activity
Year-To-Date and For The Month Ending July 2015
168-9966-000165 Social Security Medicare 184.80 1,913.14
168-9966-000168 OPEB pay-as-you-go 1,500.00 15,000.00
168-9966-000312 Professional Services 16,796.29 60,340.81
168-9966-000316 Telephone 0.00 496.59
168-9966-000325 Contract Maintenance 62,422.84 136,523.15
168-9966-000342 Contracted Services-Repairs and Maint. 0.00 269.41
168-9966-000343 Other Operating Expenditures 2,079.00 17,689.00
Total Greenspace Mgmt.Public 101,718.71 452,012.12
Total RDA City Center( 953,092.58 15,848,260.74
202 RDA City Center Debt Service
202-4255-000710 Redemption-UT Principal 0.00 5,375,000.00
202-4255-000720 Redemption-UT Interest 1,459,981.00 3,039,103.00
Total RDA/City center Debt 1,459,981.00 8,414,103.00
365 RDA City Center Projects
365-2073-000674 Machinery&Equipment 8,619.85 8,619.85
Total pkcbicpph2 Bicycle 8,619.85 8,619.85
365-2327-069357 Capital-Contracts 103.00 44,987.09
Total City Center RDA-Cony. City Center RDA-Cony.Ctr. 103.00 44,987.09
365-2336-069355 Capital-Program Mgmt 0.00 62,280.00
Total rwswestrow West Ave/Bay 0.00 62,280.00
365-2455-069357 Capital-Contracts 0.00 560,514.62
Total pkcbassph2 Bass 0.00 560,514.62
365-2557-069357 Capital-Contracts 5,014.84 5,014.84
365-2557-069358 Capital-Miscellaneous 18,197.47 18,197.47
Total Bicycle Parking 23,212.31 23,212.31
365-2616-069357 Capital-Contracts 0.00 223,346.76
Total CCHV Neigh.Improv. 0.00 223,346.76
365-2664-069357 Capital-Contracts 36,780.26 160,759.98
Total Linclon Rd.B/T Collins 36,780.26 160,759.98
365-2765-000674 Machinery&Equipment 31,551.55 30,182.49
Total pwcastrprp Aluminum 31,551.55 30,182.49
365-2766-069357 Capital-Contracts 0.00 54,311.88
Total pkslinrdft Lincoln Rd. 0.00 54,311.88
365-2801-061357 Design-Capital Contracts 0.00 134,582.23
365-2801-069357 Capital-Contracts 0.00 32,967.00
Total pgmculcamp Collins Park 0.00 167,549.23
365-2950-069357 Capital-Contracts 0.00 14,196.00
Total enccollcep Collins Canal 0.00 14,196.00
365-2953-061357 Design-Capital Contracts 0.00 18,936.93
Total nrwscollpar Collins Park 0.00 18,936.93
365-6203-000674 Machinery&Equipment 0.00 37,600.00
Total rrscolorcc Colont Thtr 0.00 37,600.00
Page 4 of 6
•
Redevelopment Agency City Center/Historic Convention Village
Summary of Operating Activity
Year-To-Date and For The Month Ending July 20'15
365-6244-069400 Capital-Litigation Cost 0.00 62,981.45
Total rwscitylfe City Cntr 9A rwscitylfe City Cntr 9A Legal Fees 0.00 62,981.45
365-6246-000312 Professional Services 32,917.00 326,833.00
Total rwslincrmp Lincoln Rd 32,917.00 326,833.00
365-6251-000342 Contracted Services-Repairs and Maint. 0.00 5,315.20
Total rrmbashvac-Bass 0.00 5,315.20
365-6253-000674 Machinery&Equipment 0.00 49,815.56
Total rrmbasshpr Bass Museum 0.00 49,815.56
365-6257-000342 Contracted Services-Repairs and Maint. 11,728.89 11,728.89
Total rrslincllb-1100 Lincoln 11,728.89 11,728.89
365-6988-000350 Supplies-Construction 0.00 21,696.34
Total pwslinclan Lincoln Rd. 0.00 21,696.34
Total RDA City Center 144,912.86 1,884,867.58
463 RDA Anchor Garage 463
463-1990-000312 Professional Services 26,603.79 230,679.35
463-1990-000313 Bank Fees 3,898.98 46,549.67
463-1990-000314 Electricity 2,434.44 18,412.43
463-1990-000316 Telephone 168.91 1,441.44
463-1990-000317 Water 520.97 6,041.58
463-1990-000318 Sewer Charges 433.38 ' 5,923.46
463-1990-000319 Sanitation Fees 2,576.49 24,650.90
463-1990-000322 Administration Fees 17,666.67 176,666.70
463-1990-000324 Printing 0.00 3,225.00
463-1990-000325 Contract Maintenance 24,646.81 100,652.77
463-1990-000329 Storm Water 1,400.28 13,361.73
463-1990-000342 Contracted Services-Repairs and Maint. 323.25 29,297.21
463-1990-000343 Other Operating Expenditures 0.00 70,681.50
463-1990-000349 Other Contractual Services 29,676.39 204,1.85.13
463-1990-000366 Anchor Garage-Facility Usage 0.00 374,794.51
463-1990-000368 Taxes&Licenses 0.00 376,438.93
463-1990-000484 Depreciation 0.00 340,046.52
463-1990-000502 Property Mgmt-Internal Svc 3,809.35 80,692.17
463-1990-000505 Self Insurance-Internal Svc 7,416.67 74,166.70
Total RDA-Anchor Garage Operations 121,576.38 2,177,907.70
463-2964-069357 Capital-Contracts 0.00 68,800.00
Total rrsancroof Anchor Garage 0.00 68,800.00
463-6201-000676 Renovations 0.00 219,977.00
Total rrsanchrep Anchor Gar 0.00 219,977.00
463-6283-000342 Contracted Services-Repairs and Maint. 0.00 7,351.00
Total rrsancefis Anchor Garage 0.00 7,351.00
463-6295-000342 Contracted Services-Repairs and Maint. 0.00 23,946.00
Total rrsancentr Anchor Garage 0.00 23,946.00
463-6299-000342 Contracted Services-Repairs and Maint. 0.00 7,927.00
Total rrsanchand Anchor 0.00 7,927.00
463-6303-000342 Contracted Services-Repairs and Maint. 0.00 26,037.00
Total rrsancjoin Anchor Garage 0.00 26,037.00
Page5of6
Redevelopment Agency - CitY Center/Historic Convention Village
Summary of Operating,Activity
Year-To-Date and For The Month Ending July 2015
463-6304-000342 Contracted Services-Repairs and Maint. 0.00 57,638.00
Total rrsancclea Anchor Garage Pressure Clean 0.00 57,638.00
463-6307-000342 Contracted Services-Repairs and Maint. 0.00 9,180.00
Total rrsancwind Anchor 0.00 9,180.00
Total RDA Anchor RDA Anchor Garage 463 121,576.38 2,598,763.70
465 RDA Anchor Shoppe 465
465-1995-000314 Electricity 1,629.88 3,228.11
465-1995-000322 Administration Fees 583.33 5,833.30
465-1995-000343 Other Operating Expenditures 943.42 4,131.37
465-1995-000374 Management Fees-Rent/Leases 123.95 4,235.58
465-1995-000484 Depreciation 0.00 41,547.21
465-1995-000505 Self Insurance-Internal Svc 2,000.00 20,000.00
Total RDA-Anchor Shop Operations 5,280.58 78,975.57
466 RDA Pennsylvania Ave-Shops 466
466-1997-000317 Water 656.88 656.88
466-1997-000318 Sewer Charges 2,627.52 2,627.52
466-1997-000322 Administration Fees 4,916.67 49,166.70
466-1997-000343 Other Operating Expenditures 216.00 411.00
466-1997-000368 Taxes&Licenses 49,478.22 49,478.22
466-1997-000374 Management Fees-Rent/Leases 19,083.33 190,833.30
466-1997-000484 Depreciation 0.00 12,667.89
Total Pennsylvania Shops 76,978.62 305,841.51
467 RDA Pennsylvania Ave-Garage 467
467-1996-000312 Professional Services 13,355.20 121,522.37
467-1996-000313 Bank Fees 1,675.56 21,860.21
467-1996-000314 Electricity 2,491.16 19,121.48
467-1996-000317 Water 211.31 3,888.12
467-1996-000318 Sewer Charges 360.14 6,556.03
467-1996-000322 Administration Fees 12,000.01 120,000.10
467-1996-000325 Contract Maintenance 8,384.00 127,876.20
467-1996-000342 Contracted Services-Repairs and Maint. 357.75 821.50
467-1996-000343 Other Operating Expenditures 0.00 52,335.50
467-1996-000349 Other Contractual Services 7,122.24 54,512.92
467-1996-000484 Depreciation 0.00 201,236.79
Total RDA Pennsylvania Ave-Garage 467 45,957.37 729,731.22
Total Expenditures 3,458,134.18 34,575,644.89
Total Revenues $ 51,082,842.49
Total Expenses (34,575,644.89)
Total Net Income $ 16,507,197.60
The Check register for the Redevelopment Agency-City Center Historic Convention Village is located at
https://secure.miamibeachfl.gov/apvendorviewer/chksearch.aspx
The Monthly Construction Projects update for active City Center Historic Convention Village is located at
http://www.miamibeachfl.gov/cityclerk/scroll.aspx?id=81799
Page 6 of 6
Redevelopment Agency-City Center/Historic Convention Village
Summary of Accrual Basis Transactions by Project
Fiscal Years 1994-2015.
Total
Prior Years FY 2015 Rev/Expenses
REVENUES
Tax increment-County $ 180,393,351 16,198,096 $ 196,591,447
Tax increment-City 178,343,899 20,053,802 198,397,701
Tax increment (Interest)-County 19,057 19,057
Tax increment-Children's Trust 13,441,274 1,842,210 15,283,484
Bond proceeds 108,779,453 108,779,453
Rental income 292,859 292,859
Anchor Garage receipts 37,856,986 2,941,032 40,798,018
Anchor Garage deposit card receipts 30,788 30,788
Anchor Shops rental income 9,384,005 673,747 10,057,752
Anchor Shops rental deposits 193,044 193,044
Pennsylvania Garage receipts 2,647,066 766,761 3,413,827
Pennsylvania Garage deposit card receipts 240 240
Pennsylvania Shops rental income 1,039,720 1,039,720
Pennsylvania Shops rental deposits 171,382 616,789 788,171
Legal settlement 100,000 100,000
Loews Facility Use/Usage Fee 145,462 145,462
Loews Ground Lease Receipts 8,240,984 8,240,984
Loews Hotel-exercise option 27,498,975 27,498,975
RDP Royal Palm Ground Lease Receipts 470,222 470,222
RDP Royal Palm-Sale of Land 12,562,278 12,562,278
New World Symphony Contribution 250,000 250,000
Interest income/Unrealized Gain/Loss Invest 21,105,277 821,722 21,926,999
Resort tax contributions 55,977,581 55,977,581
Cost of Issuance Proceeds-Series 2005 402,221 7,074,060 7,476,281
Bid deposits-hotels 375,000 375,000
Bid deposits-cinema 100,000 100,000
Loan from City 3,000,000 3,000,000
Line of credit from City 19,190,000 19,190,000
Cultural Campus 1,975,762 1,975,762
St. Moritz Hotel-refund/reimbursement 925,450 925,450
Reimbursements(GMCVB/RE taxes/Grants) 3,864,530 3,864,530
St.sales tax(receipt-income for pmt.to St) 2,371,561 2,371,561
Miami City Ballet-Capital 31,698 45,473 77,171
Miami City Ballet Lease/Maint 213,981 44,743 258,724
Anchor Garage insurance reimbursement 26,170 26,170
Real Estate taxes refund 299,056 299,056
Refund Due to/From 1,128,005 1,128,005
Refund-Loews-Water/Sewer Impact Fees 348,319 348,319
Refund-Police Salaries and Wages 844,503 844,503
Miscellaneous/Prior Year Refunds&Voids 1,448,740 4,407 1,453,147
TOTAL REVENUES $ 695,488,899 $ 51,082,842 $ 746,571,741
EXPENDITURES
Projects
African-American Hotel
Appraisal fees (4,200) (4,200)
Bid refund (50,000) (50,000)
Board up (50,995) (50,995)
Construction(soil remediation/tank) (9,800) (9,800)
Delivery (503) (503)
Electric service (422) (422)
Environmental clean up (161,613) (161,613)
Equipment rental (14,815) (14,815)
Fire alarm service (13,870) (13,870)
Hotel negotiation consultant (126,131) (126,131)
1 of 6
Redevelopment Agency-City Center/Historic Convention Village
Summary of Accrual Basis Transactions by Project,
Fiscal Years 1994-2015
Total
Prior Years FY 2015 Rev/Expenses
Land acquisition (10,592,060) (10,592,060)
Legal fees/costs (667,871) (667,871)
Lot clearing (16,924) (16,924)
Maintenance (48,173) (48,173)
Miscellaneous (309,495) (309,495)
Owner's representative fees&expenses (293,757) (293,757)
Postage,printing&mailing (4,153) (4,153)
Professional services (144,049) (144,049)
Public notice/advertisement (13,951) (13,951)
Refund of deposits (175,000) (175,000)
Reimbursements (15,799) (15,799)
Relocation (32,400) (32,400)
Security guard service (170,015) (170,015)
Title insurance (25,271) (25,271)
Travel&related expenses (2,159) (2,159)
Water/Sewer(impact fees) (25,240) (25,240)
Total African-American Hotel (12,968,666) - (12,968,666)
Convention Hotel
Administrative fees (5,436) (5,436)
Appraisal fees (67,150) (67,150)
Bid refund (100,000) (100,000)
Bond costs (173,998) (173,998)
Building permit fees (172,451) (172,451)
Construction (33,265,118) (33,265,118)
Delivery (1,778) (1,778)
Demolition (47,361) (47,361)
Environmental clean up (19,556) (19,556)
Equipment rental (24,389) (24,389)
Fire alarm service (600) (600)
Hotel selection/study (263,357) (263,357)
Hotel negotiation consultant (723,112) (723,112)
Land acquisition (20,673,575) (20,673,575)
Legal fees/costs (1,026,811) (1,026,811)
Lot clearing (12,407) (12,407)
Maintenance (695) (695)
Miscellaneous (28,063) (28,063)
Owner's representative fee&expenses (1,218,615) (1,218,615)
Postage,printing&mailing (15,977) (15,977)
Professional services (275,568) (275,568)
Public notice/advertisement (5,996) (5,996)
Reimburse closing costs to C.M.B. (3,000,000) (3,000,000)
Reimbursements (27,902) (27,902)
Security guard service (26,563) (26,563)
Temporary staffing (3,000) (3,000)
Training,conferences&meetings (1,750) (1,750)
Travel&related expenses (25,800) (25,800)
Water/sewer service (308,979) (308,979)
Total Convention Hotel (61,516,007) - (61,516,007)
Hotel Garage-Construction
Administrative fees (26,248) (26,248)
Appraisal fees (24,913) (24,913)
Board up (9,763) (9,763)
Bond costs (37,442) (37,442)
Building permit fees (818) (818)
Construction draw (13,773,347) (13,773,347)
Delivery (230) (230)
Demolition (155,834) (155,834)
2 of 6
Redevelopment Agency-City Center/Historic Convention Village
Summary Of Accrual Basis Transactions by Project
Fiscal Years 1994-2015
Total
Prior Years FY 2015 Rev/Expenses
Electric service (1,554) (1,554)
Equipment rental (360) (360)
Environmental (30,824) (30,824)
Land acquisition (3,312,947) (3,312,947)
Legal fees/costs (239,024) (239,024)
Maintenance (832) (832)
Miscellaneous (36,680) (36,680)
Owner's representative fee&expenses (311,094) (311,094)
Printing (6,915) (6,915)
Professional services (80,094) (80,094)
Public notice/advertisement (6,525) (6,525)
Reimbursement (10,759) (10,759)
Relocation (99,384) (99,384)
Security guard service (81,247) (81,247)
Water/sewer service (1,142) (1,142)
Total Hotel Garage (18,247,976) - (18,247,976)
Movie Theater Project
Appraisal fees (4,500) (4,500) •
Bid refund (80,000) (80,000)
Delivery (476) (476)
Equipment rental (4,032) (4,032)
Legal fees (57,299) (57,299)
Miscellaneous (2,913) (2,913)
Professional services (14,380) (14,380)
Refund of deposit (10,000) (10,000)
Traffic parking study (8,600) (8,600)
Total South Beach Cinema (182,200) - (182,200)
Lincoln Road
Appraisal fees (5,000) (5,000)
Delivery (8) (8)
Equipment rental (11,900) (11,900)
Legal fees (10,827) (10,827)
Lot clearing (5,440) (5,440)
Lighting (60,805) (60,805)
Maintenance (195,588) (195,588)
Miscellaneous (582) (582)
Postage,printing&mailing (810) (810)
Professional services (99,553) (99,553)
Reimbursements (23,581) (23,581)
Revitalization (960,522) (960,522)
Repayment of Loan (21,776,959) (21,776,959)
Temporary staffing (66,158) (66,158)
Training,conferences&meetings (1,518) (1,518)
Travel&related expenses (771) (771)
Total Lincoln Road (23,220,022) - (23,220,022)
Beachwalk
Environmental (5,400) (5,400)
Miscellaneous (212,613) (212,613)
Professional services (5,015,698) (5,015,698)
Total Beachwalk (5,233,711) - (5,233,711)
Convention Center
Convention Center Hotel - (254,380) (254,380)
Convention Center Improvement (5,723,464) (4,458,336) (10,181,800)
Total Convention Center (5,723,464) (4,712,716) (10,436,180)
3of6
Redevelopment Agency-City Center/Historic Convention Village
Summary of Accrual Basis Transactions by Project
Fiscal Years 1994-2015
Total
Prior Years FY 2015 Rev/Expenses
Collins Park Cultural Center
Appraisal fees (24,605) (24,605)
Environmental (137,515) (137,515)
Land acquisition (6,661,982) (6,661,982)
Construction (7,814,087) (7,814,087)
Legal fees (768,507) (768,507)
Miscellaneous (156,498) (156,498)
Professional services (1,242,704) (1,242,704)
Streetscape (401,312) (401,312)
Utilities (110,168) (110,168)
Children's Feature (7,200) (7,200)
Total Cultural Campus (17,324,578) - (17,324,578)
Other Projects
Bus Prop.Ctr. (159) (159)
Chamber of Commerce Relocation Study (2,000) (2,000)
Colony Theater-Stage Lighting-Coils Repl (6,581,183) (37,600) (6,618,783)
Construction of Library (14,586) (14,586)
East/West Corridor (88) (88)
Electrowave (3,161) (3,161)
Garden Center (3,077) (3,077)
Guidelines (12,450) (12,450)
Old City Hall (499) (499)
17th Street Surface Lot (256,887) (256,887)
10A Surface Lot-Lennox (382,854) (382,854)
Streetscapes (324,849) (324,849)
6th Street Streetscape (577) (577)
Botanical Gardens (356,552) (356,552)
Transportation Mobility Study (32,225) (32,225)
Convention Center Streetscape (2,202,353) (44,987) (2,247,340)
New World Symphony (21,591,976) (21,591,976)
New World Symphony-Lincoln Park (14,440,890) (14,440,890)
Washington Avenue Streetscape (3,198,183) (3,198,183)
Rotunda/Collins Park 9/30/2014 (735,652) (735,652)
R.O.W. Improvements (2,356,207) (2,356,207)
Flamingo(16 St.Corridor) (4,721) (4,721)
Flamingo Neigh.South-Bid A (10,186) (10,186)
Flamingo Neigh. Lummus-Bid B (456,047) (456,047)
Flamingo Bid C (13,877) (13,877)
Beachfront Restrooms (431,147) (431,147)
Water&Wastewater Pump Station (1,228,541) (1,228,541)
Miami City Ballet&HVAC (5,859,594) (5,859,594)
Wayfinding Project (348,123) (348,123)
West Ave/Bay Road Neigh. Improve. (687,720) (62,280) (750,000)
Multi-Purpose Building Adj.City Hall (14,762,648) (14,762,648)
Bass Museum (10,252,043) (560,515) (10,812,558)
Bass Museum Hydraulic (2,750) (2,750)
Bass Museum HVAC Improv./Heat Pump (142,781) (5,315) (148,096)
Bass Museum Heat Pump Replacement (49,816) (49,816)
The Barclay,the Allen and the
London House (14,154,643) (14,154,643)
Carl Fisher Renewal and Replacement (131,286) (131,286)
Alleyway Restoration Program (221,632) (221,632)
Lincoln Road Between Lennox and Alton (6,151,710) (21,696) (6,173,406)
City Center Neighborhood Improvement (223,347) (223,347)
Lincoln Road Between Collins/Washington (1,300,155) (160,760) (1,460,915)
Lincoln Road Fountain (4,484) (4,484)
Lincoln Road Mall Accent Light (90,446) (90,446)
4 of 6
I
Redevelopment.Agency City Center/Historic Convention Village
Summary of Accrual Basis Transactions by Project
Fiscal'Years 1994-2015.
Total
Prior Years FY 2015 Rev/Expenses
Aluminum Street Lighting Pole (30,182) (30,182)
Lincoln Road Landscaping (3,959) (54,312) (58,271)
Lincoln Road Uplighting (7,820) (7,820)
Lincoln Road Master Plan (326,833) (326,833)
1100 Lincold Road Updates (11,729) (11,729)
Little Stage Complex (325,593) (325,593)
Preferred Parking Surface Lot (526,649) (526,649)
Tree Wells Pilot Project (409,571) (409,571)
Washington Ave. Bridge Restoration Loan (700,000) (700,000)
Collins Canal Enhancement Project (1,418,486) (14,196) (1,432,682)
Collins Park Parking Garage-and Land (6,957,704) (167,549) (7,125,253)
Collins Park Ancillary Improvement (39,086) (18,937) (58,023)
CCHV Neighborhood Improvements (11,672,435) (11,672,435)
21st Street Recreational Center Repairs (14,901) (14,901)
Animal Waste Dispensers&Receptacles (25,000) (25,000)
Trash Receptacles (12,400) (12,400)
Pedestrian Countdown Signals (54,868) (54,868)
Maze Project-21st Street&Collins (135,000) (135,000)
Directory Signs in City Center ROW (190,277) (190,277)
Beach Shower Replacement&Renovation (6,355) (6,355)
24"PVC Sanitary Sewer Improvements (315,016) (315,016)
Bicycle Parking Phase 2 (8,620) (8,620)
Bicycle Parking Project (9,013) (23,212) (32,225)
Total Other Projects (131,575,075) (1,821,886) (133,396,961)
Total Projects (275,991,699) (6,534,602) (282,526,301)
Administration
Administrative fees (225) (225)
Anchor Shops Leasing (134,878) (134,878)
Appraisal fees (7,000) (7,000)
Bond costs/Bond Trustee. Fees (2,200,650) (2,200,650)
Delivery (1,400) (1,400)
Dues&subscriptions (10,830) (10,830)
Facility Usage-Loews Hotel (117,377) (117,377)
Management fees (2,836,300) (2,836,300)
Interlocal Agreement/City Center Operation (20,511,284) (1,203,746) (21,715,030)
Miscellaneous (83,225) (83,225)
Office supplies (45,009) (45,009)
Postage, printing&mailing (50,857) (2,385) (53,242)
Professional services (1,166,950) (1,166,950)
Parks Maintenance by Parks Department (115,583) (115,583)
Public notice/advertisement (2,496) (2,496)
Reimbursements (62,184) (62,184)
Sales tax (180,222) (180,222)
Settlement Costs (457,500) (457,500)
• Legal Fees(Ongoing Litigation) (267,516) (62,982) (330,498)
Temporary staffing (14,197) (14,197)
Training,conferences&meetings (19,294) (19,294)
Travel&related expenses (1,769) (1,769)
Accrued interest on investments (479,466) (479,466)
Total Administration (28,650,629) (1,384,696) (30,035,325)
New World Symphony Grant In Aid (15,000,000) (15,000,000)
Capital projects Maintenance (12,434,581) (12,434,581)
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Redevelopment Agency-City Center/Historic Convention Village
Summary of Accrual Basis Transactions by Project
Fiscal Years 1994-2015
Total
Prior Years FY 2015 Rev/Expenses
City Center Greenspace Management (2,439,654) (452,012) (2,891,666)
South Beach area-Property Management (9,252,554) (892,393) (10,144,947)
RDA City Center Code Compliance - (148,331) (148,331)
RDA City Center Sanitation - (2,356,754) (2,356,754)
Cost of Issuance Series 2005 A&B (375,047) (7,074,060) (7,449,107)
Debt Service/Loan Repayment (185,016,357) (8,414,103) (193,430,460)
Anchor Garage Operations (25,940,894) (2,598,764) (28,539,658)
Anchor Shops Operation (2,306,464) (78,976) (2,385,440)
Pennsylvania Ave-Garage Operations (2,253,129) (729,731) (2,982,860)
Pennsylvania shops operations (1,339,156) (305,842) (1,644,998)
Community Policing-CCHCV (32,813,255) (3,605,381) (36,418,636)
TOTAL EXPENDITURES (593,813,419) (34,575,645) (628,389,064)
ENDING BALANCE $ 101,675,480 $ 16,507,197
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