Resolution 8086 RESOLUTION NO. 8086
A RESOLUTION OF THE CITY COUNCIL OF THE CITY
OF MIAMI BEACH, FLORIDA, ADOPTING A BUDGET
FOR THE SAID CITY FOR THE FISCAL YEAR ENDING
SEPTEMBER 30, 1953.
BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF MIAMI BEACH, FLORIDA,
that:
WHEREAS, the City Tax Assessor of said City has notified this body
that the amount of the sum total of taxable property in said City of
Miami Beach, Dade County, Florida, for the tax year of 1952 is Three
Hundred Twenty Eight Million, Eight Hundred Fifty Nine Thousand, One
Hundred Fifty Dollars and 00/100 Dollars ($328,859,150.00), which, however,
includes Two Hundred Seventy Thousand, Four Hundred and 00/100 Dollars
($270,400.00) in Widow's, Veteran's and Disability Exemptions, leaving a
working gross assessed valuation of Three Hundred Twenty Eight Million,
Five Hundred Eighty Eight Thousand, Seven Hundred Fifty and 00/100 Dollars
($328,588,750.00), which total is subject to an allowance of Twenty Million,
Nine Hundred Forty-one Thousand, Four Hundred Fifty and 00/100 Dollars
($20,941,450.00) for Homestead Exemptions, pursuant to the provisions of
an Act known as"Senate Bill No. 123", adopted by the State Legislature in
1935 and as amended, leaving a net assessed valuation of Three Hundred and
Seven Million, Six Hundred Forty-seven Thousand, Three Hundred and 00/100
(307,647,300.00) :
THEREFORE, in conformity with Section 43 of the City Charter of said
City, the City Council has ascertained the amount of the money needed for
each department and makes the following estimate to be raised by taxes on
all of the taxable property in the said City for the year A. D. 1952,
namely:
BUDGET
GENERAL FUND: GENERAL GOVERNMENT
Code Mayor and Council
A Personal Services $ 29,600.00
B Contractual Services 2,750.00
C Materials and Supplies 300.00
D Sundry Charges 10,450.00
E Capital Outlay 600.00
$ 43,70u o0
Purchasing Department
A Personal Services 2;710.00
B Contractual Services 3,400.00
C Materials and Supplies 500.00
D Sundry Charges 485.00
E Capital Outlay 200.00
7,295.00
City Manager 's Office
A Personal Services 31,882.00
B Contractual Services 1,400.00
C Materials and Supplies 350.00
D Sundry Charges 900.00
E Capital Outlay 165.00
34,697.00
Personnel Dept. & Pension Board
A Personal Services 22,602.00
B Contractual Services 2,520.00
C Materials and Supplies 900.00
D Sundry Charges 750.00
E Capital Outlay 786.00
27,558.00
City Clerk and Collector's Office
A Personal Services 205,342.00
B Contractual Services 24,554.00
C Materials and Supplies 4,010.00
D Sundry Charges 1,301.00
E Capital Outlay 5,298.00
240,505.00
Carried Forward $ 353,755.00
GENERAL GOVERNMENT
Continued
Brought Forward $ 353,755.00
Code Elections and Registration
A Personal Services $ 8,700.0u
B Contractual Services 6,373.00
C Materials and Supplies 426.00
E Capital Outlay 55.00
15,554.00
Tax Assessor
A Personal Services 28,200.00
B Contractual Services 4,970.00
C Materials and Supplies 500.00
D Sundry Charges 500.00
E Capital Outlay 150.00
34,320.00
Department of Law
A Personal Services 40,220.00
B Contractual Services 4,095.00
C Materials and Supplies 350.00
D Sundry Charges 40.00
E Capital Outlay 1,100.00
45,805.00
TOTAL GENERAL GOVERNMENT $ 449,434.00
PUBLIC SAFETY
Code Fire Department
A Personal Services 397,444.00
B Contractual Services 16,112.00
C Materials and Supplies 20,181.00
D Sundry Charges 1,100.00
E Capital Outlay 9,475.00
444,312.00
Police Department
A Personal Services 726,207.00
P Contractual Services 82,337.00
C Materials and Supplies 29,885.00
D Sundry Charges 10,240.00
E Capital Outlay 20,911.00
869,580.00
Beach Patrol
A Personal Services 254,168.00
B Contractual Services 17,119.00
C Materials and Supplies 6,446.00
E Capital Outlay 1,645.00
279,378.00
TOTAL PUBLIC SAFETY 1,593,270.00
PUBLIC SERVICE
Code Engineering Department
A Personal Services 26,500.00
B Contractual Services 4,550.00
C Materials and Supplies 1,950.00
D Sundry Charges 600.00
E Capital Outlay 1,500.00
35,100.00
Streets and Bridges
A Personal Services 105,300.00
B Contractual Services 30,800.00
C Materials and Supplies 5,725.00
141,825.00
Sewers
A Personal Services 69,200.00
B Contractual Services 54,800.00
C Materials and Supplies 4,000.00
128,000.00
Carried Forward $2,347,629.00
- 2 -
•
PUBLIC SERVICE
_ Continued
Brought Forward $2,347,629.00
Code Waste Disposal and Collection
A Personal Services $ 469,300.00
B Contractual Services 292,450.00
C Materials and Supplies 3,400.00
765,150.00
Lighting City
B Contractual Services 145,000.00
145,000.00
TOTAL PUBLIC SERVICE $1,215,075.00
PARKS
Code Park Department
A Personal Services 189,532.00
B Contractual Services 34,522.00
C . Materials and Supplies 12,550.00
D Sundry Charges 975.00
E Capital Outlay 1,875.00
239,454.00
TOTAL PARKS 239,454.00
BUILDING INSPECTION AND MAINTENANCE
Code Building Inspection
A Personal Services 66,165.00
B Contractual Services 9,170.00
C Materials and Supplies 400.00
D Sundry Charges 1,235.00
E Capital Outlay 535.00
77,505.00
Maintenance Public Buildings
A Personal Services 26,280.00
B Contractual Services 26,250.00
C Materials and Supplies 1,200.00
E Capital Outlay 200.00
53,930.00
TOTAL BUILDING INSPECTION AND MAINTENANCE 131,435.00
HEALTH AND WELFARE
Code Hospitalization of Indigents
B Contractual Services 53620.00
53,620.00
Medical Department
A Personal Services 10,420.00
B Contractual Services 1;018.00
C Materials and Supplies 3,685.00
E Capital Outlay 1,898.00
17,021.00
Psychologist
A Personal Services 12,500.00
B Contractual Services 300.00
C Materials and Supplies 440.00
D Sundry Charges 385.00
E Capital Outlay 875.00
14,500.00
Social Services
A Personal Services 17,484.00
B Contractual Services 28,910.00
C Materials and Supplies 200.00
D Sundry Charges 1,650.00
E Capital Outlay 200.00
48,444.00
TOTAL HEALTH AND WELFARE 133,585.00
Carried Forward $3,762,253.00
_ 3 _
RECREATION
Brought Forward $3,762,253.00
Code Playgrounds
A Personal Services $ 87,129.00
B Contractual Services 20,485.00
C Materials and Supplies 5,875.00
D Sundry Charges 625.00
E Capital Outlay 6,045.00
120,159.00
Community Centers
A Personal Services 26,822.00
B Contractual Services 25,085.00
C Materials and Supplies 2,100.00
D Sundry Charges 315.00
E Capital Outlay 7,225.00
61,547.00
Normandy Shores Golf Course
A Personal Services 58,652.00
B Contractual Services 11,480.00
C Materials and Supplies 12,300.00
D Sundry Charges 735.00
E Capital Outlay 5,010.00
88,177.00
Bay Shore Golf bourse
A Personal Services 65,284.00
B Contractual Services 13,970.00
C Materials and Supplies 16,050.00
D Sundry Charges 230.00
E Capital Outlay 52_700.00
101,234.00
Golf Driving Range
B Contractual Services 1,275.00
1,275.00
Miami Beach Public Library
A Personal Services 54,860.00
B Contractual Services 5,985.00
C Materials and Supplies 2,655.00
D Sundry Charges 1,146.00
E Capital Outlay 18,500.00
83,146.00
Miami Beach Art Center
A Personal Services 9,450.00
B Contractual Services 5,900.00
C Materials and Supplies 225.00
D Sundry Charges 450.00
E Capital Outlay 350.00
16,375.00
TOTAL RECREATION $ 471,913.00
WATER DEPARTMENT
Code Water Department
A Personal Services 162,945.00
B Contractual Services 574,695.00
C Materials and Supplies 40,030.00
D Sundry Charges 1,800.00
E Capital Outlay 8,400.00
787,870.00
TOTAL WATER DEPARTMENT 787,870.00
TOTAL OPERATING BUDGET - Carried Forward $5,022,036.00
e
- 4 -
•
TOTAL OPERATING BUDGET - Brought Forward $5 022 036 00
MISCELLANEOUS
Code Miscellaneous
901 Insurance and Taxes $ 122 197 00
902 Safety Engineer 11 160 00
903 Metropolitan Water Survey 2 130 00
904 Zoning 2 695 00
904.1 Planning Board 1 000 00
905 Rate and Traffic Survey 6 000 00
907 Municipal Consultant 8 500 00
908 Leasing Public Buildings 7 800 00
910 City's Contribution - Auditorium 49 730 00
911 City's Contribution - Shop and Garage 81,540 00
912 Animal Handling 3 600 00
915 Employees' Hospitalization 35 000 00
916 Reserve for Accumulated Leave 10 000 00
917 Opera Guild of Greater Miami 3 000 00
918 Summer 'Pop' Concerts 5 000 00
919 Microfilming Building Department Records 6 752 00
920 Special Food Inspector 5 000 00
921 Municipal Survey 10 000 00
922 Actuarial Study of Pension Systems 1 950 00
931 Employees' Retirement and Pension 285 000 00
932 City Pension Fund for Firemen and Policemen 138 888 00
TOTAL MISCELLANEOUS 796,942.00
EXTRAORDINARY REPAIRS
(Subject to Cigarette Tax Credit)
941 Sewer Repairs $ 27 000 00
943 Retread - Paved Streets 32 000 00
944 Bridge Repairs 5 000 00
945 Street Oiling 10 000 00
946 Resurfacing Streets 26 000 00
947 Sidewalk Repairs 25 000 00
948 Curb & Gutter Repairs 10 000 00
TOTAL EXTRAORDINARY REPAIRS (Subject to
Cigarette Tax) 135 000 00
CAPITAL OUTLAY
(Subject to Cigarette Tax Credit)
957 Water Dept. Improvements 55 000 00
958 Engineering Department 119 000 00
959 Acquisition of Land 47 500 00
TOTAL CAPITAL OUTLAY (Subject to
Cigarette Tax) 221 500 00
356 500 00
Less: State of Florida Cigarette Tax Credit 313 564 00
42 936 00
EXTRAORDINARY REPAIRS
(Not Subject to Cigarette Tax)
942 Removal Pine Trees 8 500 00
TOTAL EXTRAORDINARY REPAIRS (Not Subject to
Cigarette Tax) 8 500 00
CAPITAL OUTLAY
(Not Subject to Cigarette Tax)
951 Traffic Control 21 317 00
952 Park Department 28 350 00
958 Engineering Department 89 800 00
959 Acquisition of Land 125 900 00
962 Miscellaneous Capital Improvements 238 000 00
TOTAL CAPITAL OUTLAY (Not Subject to
Cigarette Tax) 503 367 00
Carried Forward $6 373 781 00
- 5 -
Brought Forward $6,373,781.00
Less the following Credits:
Departmental Revenue
Fines and Forfeitures $ 100,000.00
Licenses 800,000.0)
Permits 50,000.00
Normandy Shores Golf Course 95,000.00
Bay Shore Golf Course 105,000.00
Vehicle Inspection 27,500.00
Rents and Leases 10,000.00
Miscellaneous 12,000.00
Bathing Beaches 12,000.00
Tapping Service 20,000.00
Water Sales 1,109,000.00
Bus and Jitney Franchise 7,500.00
Golf Driving Range 1,000.00
Playgrounds 5,000.00
Franchise Tax 225,000.00
$2 579 000 00
Less Revenue pledged pursuant to the purchase of
four (4) parcels of property:
Resolution No. 7053, dated 11/9/49,
Principal and Interest 32,383.13
Resolution No. 7594, dated 4/18/51,
Principal and Interest 27,121.85
Resolution No. 7806, dated 10/3/51,
Principal and Interest 10,874.50
Resolution No. 7807, dated 10/3/51,
Principal and Interest 32,647.40
103,026.88
2,475,973.12
3,897,807.88
RESERVES
For Discounts and Abatements 142,744.42
For Uncollected Taxes 20,392.06 163,136.48
REQUIRED LEVY - 13.2 Mills on $307,647,300.00 (Net Assessed
Valuation) 4,060,944.36
PUBLICITY FUND
Public Relations Department 22,184.30
Convention Bureau 40,855.00
News and Publicity Bureaus 59,560.00
Chamber of Commerce - Inquiry and
Information Service 23,030.00
Folder Account 20,000.00
Paid Advertising 100,000.00
Orange Bowl 12,000.00
American Society of Travel Agents
Convention 5,000.00
Band Uniforms 2,000.00
Good Neighbor Tennis Tournament 1,750.00
Posters 1,500.00
Miami Beach Summer Fishing Tournament 2,500.24
Metropolitan Miami Fishing Tournament 6,500.00
296,879.54
Reserve for Discounts and Abatements 10,767.76
REQUIRED LEVY - 1 Mill on $307,647,300.00 (Net Assessed
Valuation) 307,647.30
Carried Forward $4,368,591.66
- 6 -
Brought Forward $4,368,591.66
DEBT SERVICE
1
Bond Obligationsrior to passage of Homestead Exemption Act
Issued for
Sec. 210.03
Fla. Statutes
Purposes Total
Retirement of Bonds $ 211,000.00 $ 34,000.00 245,000.00
Interest on Bonds 39,572.75 7,122.25 46,695.00
Fiscal Agent's Fees 145.07 23.39 168.46
250,717.82 41,14576T 291,863.46
Less: State Cigarette Tax Credit
250,717.82 x 627,128.00
630;802.84 2 1241641.69 124,641.69
126,076.13 41,145.64 167,221.77
RESERVES
For' Discounts and Abatements 4,571.64 1,492.35 6,063.99
For Uncollected Taxes 653.09 213.19 866.28
REQUIRED LEVY - .53 Mills on
$328,588,750.00 (Gross Assessed
Valuation less Widows' and Veterans
Exemptions $ 131,300.86 $ 42,851.18 $ 174)152.04
.40 Mills .13 Mills .53 Mills
Bond Obligations subsequent to passage
of Homestead Exemption Act
Issued for
Sec. 210.03
Fla. Statutes
Purposes Total
37
Retirement of Bonds $ 277,000.00 $ 99,000.00 ,000.00
Interest on Bonds 102,629.50 175,116.25 277,745.75
Fiscal Agent's Fees 455.52 743.63 1,199.15
380,085.02 274,859.88 654.944.90
Less: State Cigarette Tax Credit
380,085.02 x 627,128.00
630,802.84 2 188,922.31 188 922.31
191,162.71 274,859 88 466,022.59
Less: Anticipated Collections .
of Improvement Liens 64,000.00 7,700.00 71,700.00
127,162.71 267,159.88 394,322.59
Less: Estimated Balance in Bond
and Interest Retirement Fund 19,349.00 19,349.00
127,162.71 247,810.88 374,973.59
RESERVES
For Discounts and Abatements 4,484.93 9,286.25 13,771.18
For Uncollected Taxes 640.70 1,326.61 1,967.31
REQUIRED L ?.Y - 1.27 Mills on
$307,647,300.00 (Net Assessed
Valuation) $ 132,288.34 $ 2581423.74 $ 520,712.08
.43 Mills .84 Mills 1.27 Mills
Total,Debt Service Millage 1.80
4,933,455.78
Code Motor Vehicle Equipment Fund
B Contractual Services $ 209,200.00
D Sundry Charges 11,550.00
E Capital Outlay 30,000.00
$ 250,750.00
Less - Rental Charges to Departments 250,750.00 . 0-
Carried Forward $4,933,455.78
•
- 7 ..
Brought Forward $4,933,455.78
Code Stores-Shop and Garage Fund
A Personal Services $ 188,000.00
B Contractual Services 11,450.00
C Materials and Supplies 3,300.00
D Sundry Charges 500.00
E Capital Outlay 2,490.00
$ 205,740.00
Less: Operating Revenues $124,200.00
City's Contribution 81,540.00 205,740.00 -0-
Code Auditorium Fund
A Personal Services 65,650.00
B Contractual Services 48,830.00
C Materials and Supplies 5,900.00
D Sundry Charges 2,600.00
E Capital Outlay 5,746.00
128,726.00
Less: Operating Revenues $ 78,996.00
City's Contribution 49,730.00 128,726.00 -0-
GRAND TOTAL $4,933,455.78
•
SED AND ADOPTED this 13th day of August, A. D. 1952.
A7/r '012
Mayor
ATTEST:
a.
Clerk
8
I
r-1
CLS
V:2) o
CO CO
O •r-1
a CO w
d • 7--+
z 0 o Ln
H z 4-+\
0
C4 Z 0 \
0 H b0 01
El i
o •r1
b0 b
w � >~
(4 •H
4-3
a �
O CLS
'0a)