Budget Workshop Presentation5/24/2018
1
FY 2019 Budget Development Update
FY 2018 Adopted
Program Budget
Activity‐Based Budget
Developed in response to the City
Commission’s feedback regarding
greater transparency and
understanding of the existing programs
and services currently included in the
City’s budget
2
5/24/2018
2
Transition to Program Budgeting
Break out department budgets by programs and
service levels
More user friendly for elected officials and
citizens
Focus policy on funding of desired levels of
service
3
High
Medium
Low High
Medium
Low
Program “A”Program “B”
Enhancements / Reductions
Adding resources
results in higher
service level
Reducing resources
results in lower
service level
4
5/24/2018
3
Six Year Summary of
Enhancements & Reductions
Provides background information to be
considered in balancing the FY 2019 budget
5
Types of Funds
•General Fund
•Enterprise Funds
•Internal Service Funds
•G. O. Debt Service
Funds
•Redevelopment
Agency (RDA)
•Resort Tax Fund
•Special Revenue Funds
6
5/24/2018
4
FY 2018 Budget Overview
GENERAL FUND $ 330.8M
Building
Budget & Performance Improv. (OBPI)
Capital Improvement Projects (CIP)
City Attorney
City Manager
City Clerk
Code Compliance
Communications
Economic Development
Emergency Management
Finance
G.O. DEBT SERVICE FUND $ 5.9M
ENTERPRISE FUNDS $ 208.9M
Convention Center Parking Department
Water Operations Sewer Operations
Stormwater Sanitation
Fire
Human Resources/Labor Relations
Mayor and Commission
Organization Development & Perf. Initiatives
Planning
Parks & Recreation
Public Works Operations
Police
Procurement
Tourism, Cultural, & Economic Development
Citywide Accounts
7
FY 2018 Budget Overview
REDEVELOPMENT AGENCY (RDA) $ 27.5M
City Center-CMB TIF only
INTERNAL SERVICE FUNDS $ 86.0 M
Information Technology Risk Management
Central Services Property Management
Fleet Management
RESORT TAX FUND $ 83.2M
OTHER SPECIAL REVENUE FUNDS $ 24.4M
Transportation Cultural Arts Council
People’s Transportation Plan Red Light Cameras
18 Others
TOTAL OPERATING BUDGET (net of transfers & internal svc funds) $ 611M
TOTAL CAPITAL BUDGET $ 60M 8
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5
FY 2018 General Fund Revenues: $330.M
Property
Taxes
53%
Property Taxes ‐Renewal & Replacement
0%
Property Taxes ‐Normandy Shores
0%
Other Taxes
7%
Licenses and Permits
9%
Intergovernmental Revenues
3%
Charges for Services
4%
Fines and Forfeits
1%
Rents and Leases
2%
Miscellaneous
4%
Other‐Resort Tax
Contribution
11%
Other‐Parking
Contribution
1%
Other Non‐Operating Revenues
5%
9
FY 2018 General Fund Expenditures: $330.M
Police, $108,654,000 , 33%
Fire, $82,468,000 , 25%
Parks and Recreation,
$35,735,000 , 11%
Building, $15,369,000 , 5%
Public Works, $15,268,000 , 4%
Emergency Management,
$3,270,000 , 1%
Other, $70,086,000 , 21%
Public Safety
comprises 59%
of General
Fund
Expenditures
10
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6
GENERAL FUND
BUDGET TRENDS
11
General Fund Expenditures
Average 3.1% Growth Since FY 2008
Average 5%
Growth in
Past 5 Years
12
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7
Public Safety Trend
FY 2007 General Fund Budget FY 2018 General Fund Budget
Police, 75,252,774
, 32%
Fire, 43,303,018 ,
18%
Other,
119,117,304 , 50%
Police
Fire
Other
Public Safety as a percentage of the General Fund budget has increased from 50% in FY 2007 to 59%
in FY 2018 13
Police ,
108,654,000 ,
33%
Fire,
82,468,000 ,
25%
Emergency
Mgmt.,
3,270,000 , 1%
Other,
136,458,000 ,
41%
Police
Fire
Emergency
Mgmt.
Other
Position Count Trend
Positions are 1.4% more in FY 2018 than in FY 2007 (all funds)
1,411 1,458 1,509 1,441 1,399 1,345 1,273 1,322 1,337 1,371 1,442 1,469 1,536 1,536
522 578 618 609 608 582 521 574 566 571 585 600 624 620
1,933 2,036 2,127 2,050 2,007 1,927
1,794 1,896 1,903 1,937 2,027 2,069 2,160 2,156
‐
500
1,000
1,500
2,000
2,500
FY05 FY06 FY07 FY08 FY09 FY10 FY11 FY12 FY13 FY14 FY15 FY16 FY17 FY18
General Fund Other Funds All Funds
14
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8
Revenue TrendProperty Taxes in FY
2018 comprise 53%
of General Fund
Revenues compared
to 59% in FY 2007
Resort Tax
contribution to the
General Fund has
increased to $34.9M
in FY 2018 from
$19.6M in FY 2007
15
General Fund & G.O. Debt by Average Daily
Population
Average Daily Population has grown faster than the General Fund and G.O. Debt budget since FY 2007
$‐
$200
$400
$600
$800
$1,000
$1,200
$1,400
$1,600
2006/07 2007/08 2008/09 2009/10 2010/11 2011/12 2012/13 2013/14 2014/15 2015/16
GF Exp per ADP GO Debt per ADP
1,498 1,465
1,381
1,276 1,327
1,242 1,287 1,305
1,400
1,477
16
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9
FY 2019 Preliminary Budget
The FY 2019 Preliminary
budget represents the cost
of providing the level of
service currently being
provided throughout the
City
Provides the baseline of
funding for upcoming
budget process
17
General Fund Expenditures
Expenditures $ Notes
0‐3% Merit 771,000
5% Step (Police & Fire) 1,471,000
Cost of Living Adjustment (COLA) 680,000 1% on 4/1/19
Police & Fire Pension Contribution 1,972,000
Health Insurance ‐Active Employees 2,547,000 15% Increase based on FY18
claims experience
Health Insurance ‐Retirees 2,192,000 15% Increase based on FY18
claims experience
Internal Service Charges 2,542,000
Fleet Management ‐$2M ($1.M
increase in debt service)
Sub‐Total 12,175,000
18
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10
Pension Investment Return Assumptions
FY10 FY11 FY12 FY13 FY14 FY15 FY16 FY17 FY18 FY19 FY20 FY21
Police &
Fire 8.60% 8.50% 8.40% 8.30% 8.20% 8.10% 8.00% 7.95% 7.90%7.85%7.80% 7.75%
MBERP 8.50% 8.35% 8.25% 8.15% 8.00% 8.00% 7.85% 7.70% 7.65%7.60%7.50% 7.40%
19
Medical &
Prescription
Claims Trend
$‐
$500,000
$1,000,000
$1,500,000
$2,000,000
$2,500,000
$3,000,000
1/
1
/
2
0
1
5
3/
1
/
2
0
1
5
5/
1
/
2
0
1
5
7/
1
/
2
0
1
5
9/
1
/
2
0
1
5
11
/
1
/
2
0
1
5
1/
1
/
2
0
1
6
3/
1
/
2
0
1
6
5/
1
/
2
0
1
6
7/
1
/
2
0
1
6
9/
1
/
2
0
1
6
11
/
1
/
2
0
1
6
1/
1
/
2
0
1
7
3/
1
/
2
0
1
7
5/
1
/
2
0
1
7
7/
1
/
2
0
1
7
9/
1
/
2
0
1
7
11
/
1
/
2
0
1
7
1/
1
/
2
0
1
8
3/
1
/
2
0
1
8
TOTAL MEDICAL & RX CLAIMS
20
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11
Fleet Management Debt Service Trend
2,053,943
2,693,983 2,669,786
3,403,964 3,359,742
2,930,225
2,312,000
3,659,000
0
500,000
1,000,000
1,500,000
2,000,000
2,500,000
3,000,000
3,500,000
4,000,000
2012 2013 2014 2015 2016 2017 2018 2019
Fiscal Year
FY 2019 Fleet Replacement Includes 1 Fire Truck ‐$1.1M
21
General Fund Expenditures
Annual Impact of FY18 Mid‐Year Additions $
Sub‐Total Carried Forward 12,175,000
Elder Services / UNIDAD Meal Program 230,000
UNIDAD Maintenance 76,000
Increased Allowance to City Commission 57,000
Education Initiatives 99,000
Grand Total 12,637,000 22
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12
FY 2019
Preliminary
General Fund
Revenues
Non‐property tax revenues increase
$1.9M
Assumes $4.4M transfer in from
Parking fund
Assumes no increase in transfer in
from Resort Tax fund
Does not include any reductions or
enhancements
23
PRELIMINARY GENERAL FUND
REVENUES
FY 2019 Property Values
•The Property Appraiser provides preliminary
property values on June 1st and certified
values on July 1st
•Preliminary values will be known for the June
8th Finance and Citywide Projects Committee
meeting
‐Revised budget will be provided
24
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13
Property Value Historical Trend
FY09 FY10 FY11 FY12 FY13 FY14 FY15 FY16 FY17 FY18
(0.2%) (8.2%) (10.5%) (0.5%) 4.9% 6.9% 9.9% 13.3% 13.0% 7.7%
25
FY 2019 Preliminary General Fund Budget
FY 2019
REVENUES 332,847,000 0.6%
EXPENDITURES 344,076,000 3.9%
SURPLUS / (GAP) (11,229,000)
Property Value
Increase Needed
to Balance
7%
1% Increase in
Property Value
$1.7M
26
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14
FY 2019 Budget
Considerations:
Fleet Vehicle & Equipment Replacement
Increased Capital Funding
Increased Educational Initiatives
Public Safety Enhancements
Office of the Inspector General
27
Office of the
Inspector
General
•1 Inspector General (8 months)
•1 Attorney (6 months)
•1 Investigator (6 months)
•2 Clerical positions (6 months)
Year 1 Impact: $484K
Year 2 Impact: $1.1M
(Includes Pension costs &
Annualized Funding)
28
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15
Public Safety
Enhancements
Security Guards & Park
Rangers
Police Officers in Schools
High Impact Events
29
Police Officers
in Schools
Staffing:
1 Sergeant
8 Police Officers
Year 1 Impact: $962K ($300K in Equipment)
Year 2 Impact: $926K
Locations:
South Pointe Elementary
Fienberg‐Fisher Elementary
Nautilus Middle
Miami Beach High
North Beach Elementary
Biscayne Elementary
30
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16
High Impact Periods
•Police Overtime & Equipment for High Impact Periods (Currently $2.2M)
•FY19 Enhancement Request: $700,000 (Resort Tax)
FY16 FY17 FY18 FY19
Budget $2,651,150 $2,214,000 $1,964,000 2,194,000
Actuals/Projection $2,840,901 $2,549,375 $2,820,497 $‐
$‐
$500,000
$1,000,000
$1,500,000
$2,000,000
$2,500,000
$3,000,000
31
Ocean Drive
Off‐Duty
•More Police on Ocean Drive by subsidizing
higher off‐duty rates to incentivize staffing
•Friday, Saturday, and Sunday nights
FY 2018 impact: $67,000 pro‐rated
FY 2019 impact: $195,000 annualized
32
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17
Current Park
Rangers
11 Full‐Time & 18 Part ‐Time Rangers: $1.55M
2 Full‐Time in RDA (Collins Park & Soundscape Park)
11 Full‐Time & 18 Part ‐Time Rangers: $1.55M
2 Full‐Time in RDA (Collins Park & Soundscape Park)
South Pointe ParkSouth Pointe Park
North Beach Oceanside ParkNorth Beach Oceanside Park
Flamingo ParkFlamingo Park
Lummus ParkLummus Park
North Shore Youth CenterNorth Shore Youth Center
Boardwalk‐South Pointe Pier to 47th StreetBoardwalk‐South Pointe Pier to 47th Street
33
Security Guards
Currently 26 Posts
Citywide $3.46M
Parking: $2.43M
General Fund: $500K
Resort Tax: $168K
RDA: $160K
Sanitation: $10K
Property Management:
$191K
34
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18
Park Ranger
Enhancements
North Convention
Center Park
Year 1 Impact: $266K
Year 2 Impact: $284K
2 Full‐time Park Rangers
2 Part ‐time Park Rangers
Patrol daily from 7:00 am to
10:30 pm
(Commencing September 2018)
35
Park Ranger
Enhancements
Convention Center Park
(P‐Lot)
Year 1 Impact: $52K
Year 2 Impact: $192k
1 Full‐time Park Ranger
2 Part ‐time Park Rangers
Park Maintenance
Year 1 Impact: $430K
Year 2 Impact: $1.5M
2 Full‐time MSWIIs
1 Full‐time MSWI
(Commencing in July 2019)36
5/24/2018
19
Park Ranger
Enhancements
Body Cameras for Existing
Park Rangers
Year 1 Impact:
$44K GF
$5K RDA Fund
Year 2 Impact:
$29K GF
$4K RDA Fund
37
Park Ranger
Enhancements
Expansion of Park Ranger Patrol
Year 1 Impact: $1.1M
Year 2 Impact: $1.0M
2 Full‐time Park Rangers
14 Part‐time Park Rangers
2 Park Ranger Supervisors
New Locations:
North Beach Rover, South Pointe Pier, Maurice Gibb
Memorial Park, Palm Island Park, Polo Park
Enhanced Levels:
Collins Park, Soundscape Park, Beachwalk, Baywalk
38
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20
Educational Enhancements
$99K Added Mid‐Year
39
Educational Initiatives
FY 2018/19
Program Title General Fund Education Compact
Anti‐Defamation League ‐"No Place for Hate" 4,000
Common Threads Program 19,000
Math Tutoring 20,000
Voluntary Pre‐Kindergarten ($106K reduced mid‐year FY 2018)
Voluntary Pre‐Kindergarten for one class at Biscayne Elmt. 35,000
International Baccalaureate 50,000
Reading Tutoring 50,000
Nurse Initiatives ‐Behavioral Health 54,000
Extracurricular Activities for Fienberg Fisher and Biscayne 60,000
Mental Health 60,000
Drug‐Prevention‐and‐Intervention Program 3,000
Substitute Teacher Incentive Program 3,000
College Prep Program / Materials 12,500
Nurse Initiative with Neighboring Municipalities 16,000
Miami Dade Public School Agendas 18,000
Miami‐Dade College Dual Enrollment 28,000
FIU Dual Enrollment 62,000
Total $142,500 $352,000
40
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21
Potential Educational Enhancements
STEAM Initiative ‐$TBDSTEAM Initiative ‐$TBD
Digital Citizen Bootcamp ‐$45KDigital Citizen Bootcamp ‐$45K
Education Compact Coordinator Position ‐$71K (Year 2 ‐$92K)Education Compact Coordinator Position ‐$71K (Year 2 ‐$92K)
Cyber Safety Program ‐$TBDCyber Safety Program ‐$TBD
MBSH Scholarship Sponsorship ‐$TBD MBSH Scholarship Sponsorship ‐$TBD
Youth Job Fair ‐$TBDYouth Job Fair ‐$TBD
41
Capital Funding
42
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22
Increased
Capital Funding
Challenges:
FY 2019 PAYGO Capital
Request $5M
Available $2.4M
FY 2019 Capital Renewal &
Replacement (CRR)
Request $6.5M
Available $1.3MFY07 FY18
PAYGO 7,500,000 2,400,000
CRR 3,266,096 721,000
43
Increased
Capital Funding
Solution:
Proposed Increase in
Transfer to PAYGO over Time
Goal: Increase to $5M
Convert PAYGO into a millage rate
similar to Capital Renewal &
Replacement (CRR) so it will grow
over time with property values
General 5.6989 174,823,000
Renewal and Replacement 0.0235 721,000
General Operating Millage 5.7224 175,544,000
Debt Service 0.1664 5,914,000
Total Combined Millage 5.8888 181,458,000
Current Millage Rate
44
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23
Fleet Vehicle &
Equipment Replacement
45
Current
Methodology
Step 1 ‐Fleet management system
recommendation based on:
•A g e
• Mileage/Meter Hours
• Condition
• Maintenance & Repair Expenses
Step 2 – Replacements approved
through budget process
Step 3 –R e p l a c e assets using
equipment loans
46
5/24/2018
24
General Fund
Replacement
Budget
Reflects minimal replacements starting in FY 17
47
General Fund
Maintenance
& Repair
Expenses
O & M Expense Trend
48
5/24/2018
25
Consultant
Fleet Consultant engaged in January 2018
•Review vehicle replacement practices
•Review of fleet replacement cycles
•Adequacy of capital funding levels
•Overall age of the fleet
•Replacement policies
•Replacement financing practices
•Development of a ten year replacement plan
•Utilization analysis
•Assess fleet right‐sizing opportunities
49
Consultant
Preliminary recommendations
•Review vehicle replacement practices
•Fleet replacement practices are generally sound
•Increased funding for fleet assets is required
•Backlog in vehicle replacement
•Establish a sinking fund replacement model in
the future
•Industry best practice
•Rising interest rate environment
•Need to address backlog first to reduce high initial
cost of conversion
•Utilization analysis
•Estimated completion in late July
50
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26
Resort Tax Fund
51
Resort Tax Revenue Trend
52
5/24/2018
27
Resort Tax Reserves
1 Month Reserve 4,971,417
9/30/17 Reserve Available 11,739,731
2 Month Minimum Reserve (9,942,834)
Amount needed to fully fund the 3 month goal (4,971,417)
Shortfall (3,174,520)
Add Projected FY 2018 Surplus 2,100,000
Updated amount needed to fully fund 3 month goal (1,074,520)
Reserve Policy: 2 month minimum reserve plus a goal of an additional 1 month
reserve
53
FY 2019 Preliminary Resort Tax Budget
FY18 FY19 VARIANCE ($) VARIANCE (%)
REVENUES 56,691,000 60,150,000 3,459,000 6.10%
EXPENDITURES 56,691,000 56,456,000 ‐235,000 ‐0.41%
SURPLUS /
(GAP)
0 3,694,000
54
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28
Potential Resort Tax Items
FY 2018 One‐Time Expenditures $
Air & Sea Show 350,000
International Tennis Federation 100,000
Memorial Day Programming 100,000
Memorial Day Concert 250,000
Total $800,000
55
Potential Resort Tax Items
Additional Requests for Existing Programs $
Police Overtime & Equipment for High Impact
Periods (Currently $2.2M)
700,000
Enhanced Holiday Lighting (Currently $535K) 225,000
Total 925,000
56
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29
Potential Resort Tax Items
Additional Items $
Remaining Available 1,969,000
Resort Tax Insurance Premium TBD
Transfer to Sanitation Fund
($2.8M not transferred in FY 2018)
TBD
Transfer to General Fund
($2.6M not transferred in FY 2018)
TBD
57
Parking Fund
58
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30
Parking Utilization Rates
FY15 FY16
FY16 - FY15
Diff
FY16 - FY15
% Diff FY17
FY17- FY15
Diff
FY17 - FY15
% Diff
TOTAL GARAGES HOURS 12,610,156 13,126,783 516,626 4% 12,090,746 (519,410) -4%
TOTAL LOT HOURS 1,920,650 1,319,590 (601,061) -31% 949,178 (971,472) -51%
TOTAL OFF-STREET
HOURS 5,642,709 5,269,639 (373,069) -7% 4,778,265 (864,443) -15%
TOTAL ON-STREET
HOURS 8,638,452 6,022,838 (2,615,614) -30% 5,528,940 (3,109,512) -36%
TOTAL GARAGE HOURS 20,307 31,795 11,488 57% 23,081 2,774 14%
TOTAL HOURS 28,832,274 25,770,645 (3,061,629) -11% 23,370,210 (5,462,064)-19%
Negative trend since FY 2015
59
Parking Fund: Challenges
$4.4M transfer
to the General
Fund in FY 2019
1
$4.15M transfer
to the
Transportation
Fund in FY 2019
2
Potential Rate
Increases
3
60
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31
Historical Parking Transfer to General Fund
$
FY 2011 3,600,000
FY 2012 7,200,000
FY 2013 7,200,000
FY 2014 8,400,000
FY 2015 8,400,000
FY 2016 8,400,000
FY 2017 6,400,000
FY 2018 4,400,000
Recommendation:
•Eliminate transfer to the General Fund and use RDA Amendment proceeds instead
•Reduce use of RDA Amendment proceeds over time
61
Proposed Parking Revenue Enhancements
Revenue Category Current Proposed Incremental Cummulative
1 Daily Space Rental
Construction
$25
space/day
$35.00
space/day
224,000$ 224,000$
2M e t e r H o u r s
Entertainment District
Ocean Dr. to Wash. Ave.
5th to 15th St.
9 AM to 3 AM 24 Hours 135,000$ 359,000$
3 46th St & Collins Ave
Parking Lot (P71)
Metered
8am – 6pm
Weekend Flat
$20/$6
Flat Rate
24 Hours
$20/$6
539,000$ 898,000$
4 Hostel/Bed & Breakfast
Residential Zones
Annual Permit
$54.60
Daily Permit
$3
30,000$ 928,000$
62
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32
Potential Realignment of 1% QOL Resort Tax
Transportation 45%6,477,000 Transportation 60%8,637,000 2,160,000
NB - QOL 15%2,159,000 NB - QOL 10%1,439,000 (720,000)
MB - QOL 15%2,159,000 MB - QOL 10%1,439,000 (720,000)
SB - QOL 15%2,159,000 SB - QOL 10%1,439,000 (720,000)
Arts 10%1,439,000 Arts 10%1,439,000 -
Total 100% 14,393,000 Total 100% 14,393,000 -
FY19 PROJECTED FY19 PROJECTED (UPDATED)Prop vs Curr.
1%
Allocation1% Bed Tax Revenue Allocation 1% Bed Tax Revenue Allocation
Transportation Fund is heavily reliant on Parking fund (39.5% of FY18
budgeted revenues or $5.9 million) to offset the cost of the Trolley program
Would reduce Parking Fund transfer to Transportation by $2.16 M
63
Parking Fund: Solutions ($7.4M)
Reduce $4.4M
transfer to the
General Fund in FY
2019
$4.4M
1
Reduce $4.15M
transfer to
Transportation
Fund in FY 2019
$2.16M
2
Potential Rate
Increases
$928,000
3
64
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33
Other Discussion Items
Special Taxing
Districts /
Assessments
North Beach
Alternative
Funding Options
Fourth RDA
Amendment
65
Fourth
Amendment
to RDA
Agreement
Projected to generate $6.6M transfer
to the GF in FY18 ($5.1M net of Beach
Renourishment)
Includes the allocation of $6.9M in
excess Trust funds to Convention
Center Project
Item to be heard by County
Commission in June 19, 2018
Amendment approved by City
Commission April 25, 2018
66
5/24/2018
34
Recommended Uses of FY 2018 RDA Funds
$
Repayment of HUD Funds 1,079,000
Fillmore 40 Year Certification 655,000
Above Ground Costs of West
Avenue Phase II & 11th Street
Flamingo Neighborhood
3,366,000
Total 5,100,000
67
Fourth
Amendment
to RDA
Agreement
Allocation estimated to grow each
year proportionate to property tax
values in RDA through FY 2023
Estimated sunset of RDA between
FY 2027‐2029
Projected to generate $6.7M
($5.2M net of Beach Renourishment)
68
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35
Recommended Used of FY 2019 RDA Funds
$
Replace Parking’s Transfer to GF 4,400,000
Additional PAYGO CAPITAL Funding 872,000
Total 5,272,000
69
North Beach
CRA
Revenue or Millage
Equivalent
CRA
City TIF District
70
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36
CRA
Previous Direction
Pursue creation of CRA with Miami‐Dade County
following adoption of RDA Amendment
•Captures future incremental growth in property values for
the County and the City within the CRA boundaries
•Funds must be spent within the CRA district
Status
•Pending adoption of RDA Amendment
•In the process of hiring consultant to determine if
meet thresholds for “slum or blight”
71
City TIF
District
Tax Increment Financing District
Similar to CRA, but only includes the City’s
portion of property taxes (not the County’s)
.
•Reduces amount of funding generated for projects
in the district
•Funds must be spent within the TIF district
72
5/24/2018
37
Revenue or
Millage
Equivalent
Alternative to a formal district
Commission could pass a resolution that a portion of
property tax revenue growth in North beach would be
separately identified and allocated for North Beach
projects
Revenue amount could be converted into a millage
equivalent that would provide a dedicated funding
source going forward
.
•Provides flexibility in determining the revenue
amount
•Funds could be spent anywhere in North Beach
instead of only within the CRA/TIF district
73
Special Taxing Districts / Assessments
Miami
Beach
Security
Guard
Districts
•B i s c a y n e Point
•B i s c a y n e Beach
• Allison Island
•S t a r Island
•P a l m and Hibiscus Island
Pursuant to a County Charter
Amendment approved in 2016, the
new County Code provides that by
joint resolutions of the County and a
city, effective control of an existing
special taxing district can be
transferred from the County to a city.
Biscayne Point special district will officially
transition effective October 1, 2018
74
5/24/2018
38
Biscayne
Point Special
Taxing District
1st Special Taxing District transferred from
County to the City
Effective Transfer Date –O c t o b e r 1, 2018
327 units
Preliminary FY2019 Operating Budget –
$256K
•S e c u r i t y Services ‐$170K
•S e c u r i t y Improvements ‐$50K
•O t h e r Miscellaneous Expenditures ‐$6K
• Administrative Expenditures ‐$30K 75
Special Taxing Districts Transfer Timeline
January
2019
City passes
resolution
taxing
district
transfer
May 2019
Resolutions
authorizing
transfer
presented to
Board of County
Commissioners
for approval
July – September
2019
City to pass joint
resolution
accepting and
ratifying County
resolution
December
2019
Election
Date on
Joint
Resolution
to transfer
district
January 2020
City becomes
new governing
body of district
September
15, 2020
Deadline for
City to adopt
non‐ad
valorem
assessment
roll
October 1,
2020
Effective
transfer date
76
5/24/2018
39
Special Taxing
Districts
Items to consider for transfer of remaining districts:
•Property Management
•1 Position for Contract Management for
Maintenance and Services
•Budget and Finance
•1 Position for Annual Budget Preparation and
Oversight; Financial Accounting and
Reporting; Uniform method for collecting
non‐ad valorem assessments compliance
•Additional positions to be funded by potential
administrative fees collected (Estimated $150K)
77
Next Steps
Friday, July 27, 2018 ‐Optional
Friday, July 20, 2018 – Finalize Budgets
Friday, July 13, 2018 – Operating Budget
Friday, June 8, 2018 – Capital Budget &
Preliminary Operating Budget Update
Upcoming Finance & Citywide Projects
Committee Meetings
78
5/24/2018
40
Commission
Meetings
Set maximum millage
rate
July 25
Adopt Proposed Millage
Rates and Budgets
Sep. 12
Adopt Final Millage
Rates and Budgets
Sep. 26
79