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Resolution 2019-30681RESOLUTION NO. 2019 -30681 A RESOLUTION OF THE MAYOR AND CITY COMMISSION OF THE CITY OF MIAMI BEACH, FLORIDA, ADOPTING THE THIRD AMENDMENT TO THE CAPITAL BUDGET FOR FISCAL YEAR 2018/19. WHEREAS, on September 26, 2018, the final Capital Improvement Plan for Fiscal Years 2018/19 — 2022/23 and the final Capital Budget for FY 2018/19 were adopted via Resolution No. 2018- 30515; and WHEREAS, on November 14, 2018, the First Amendment to the Capital Budget for FY 2018/19 was adopted via Resolution No. 2018 - 30610; and WHEREAS, on December 12, 2018, the Second Amendment to the Capital Budget for FY 2018/19 was adopted via Resolution No. 2018 - 30649; and WHEREAS, pursuant to Section 166.241(4)(c) of the Florida Statutes, the City's budget amendments must be adopted in the same manner as the original adopted budget; and WHEREAS, further, it is recommended by the Administration that the FY 2018/19 Capital Budget be amended to increase appropriations by $448,225.00 as highlighted in Attachments A, "Projects "; B, "Source of Funds "; and C, "Programs ", and re appropriate $240,410.74 as highlighted in Attachment A, "Projects ". NOW, THEREFORE, BE IT DULY RESOLVED BY THE MAYOR AND CITY COMMISSION OF THE CITY OF MIAMI BEACH, FLORIDA, that the Mayor and City Commission hereby adopt the Third Amendment to the Capital Budget for Fiscal Year 2018/19 as set forth in Attachments A, "Projects "; B, "Source of Funds "; and C, "Programs ". PASSED AND ADOPTED this 16th day of January, 2019. ATTEST: Rafael vj3ti)t� o, City e .,z_1:11 111 E/ b v r1y, '.i Vii an Gelber, Mayor APPROVED AS TO FORM & LANGUAGE & FOR EXECUTION City Attorney Dote ATTACHMENT A FY 2018/19 CAPITAL BUDGET PROJECTS AMENDED 1/16/2019 Capital Project Name Amended FY19 Capital Budget Amended 1/16/19 Revised Capital Budget Sunset Islands 1 &2 Guardhouse (Project # 24530) 200,000.00 448,225.00 648,225.00 Public Works Facility Generator (Project # 69220) 195,314.00 165,410.74 360,724.74 Storage Tank Replacement (Project # 60218) 100,000.00 (95,699.87) 4,300.13 Historic City Hall Booster Pump (Project # 60518) 53,306.00 (28,106.00) 25,200.00 Police Station Domestic Water Pump (Project # 60818) 35,000.00 (34,445.87) 554.13 P.A.L. Building Exterior Paint (Project # 67070) 37,550.00 (7,159.00) 30,391.00 South Pointe Park HVAC Replacement (New Project) - 75,000.00 75,000.00 Southe Pointe Park Remediation (Project # 29430) 9,291,881.00 (50,000.00) 9,241,881.00 Southe Pointe Miscellaneous Improvements (Project # 29130) 893,425.00 (25,000.00) 868,425.00 Total $ 10,806,476.00 $ 448,225.00 $ 11,254,701.00 NOTE: $165,410.74 of funding for the Public Works Generator will be transferred from the following projects: Storage Tank Replacement - $95,699.87; Historic City Hall Booster Pump - $28,106.00; Police Station Domestic Water Pump - $34,445.87; and P.A.L. Building Exterior Paint - $7,159.00. $75, 000.00 of funding for the South Pointe Park HVAC Replacement will come from the following projects: South Pointe Park Remediation - $50,000.00; South Pointe Miscellaneous Improvements - $25,000.00. ATTACHMENT B FY 2016/19 CAPITAL BUDGET SOURCE OF FUNDS AMENDED 1/16/2019 Funding Source Amended FY19 Capital Budget Amended 1/16/19 Revised Capital Budget Capital Renewal & Replacement $ 1,255,000.00 $ 1,255,000.00 South Pointe Renewal & Replacement - - Comm. Dev. Block Grant 598,046.00 598,046.00 7th Street Garage 50,000.00 50,000.00 Concurrency Mitigation Fund 6,641,000.00 6,641,000,00 RDA City Center Renewal & Replacement 138,000.00 138,000.00 RDA- Non TIF (6,865,154.00) (6,865,154.00) 3 Cent Local Options Gas Tax (LOGT) 559,000.00 559,000.00 HOME Invest Part. Prog. Grant 478,580.00 478,580.00 Half Cent Transit Surtax -Cnty 797,000.00 797,000.00 Capital Projects Financed By Other Funds 3,750,000.00 448,225.00 4,198,225.00 Pay As You Go - Capital Fund 3,721,585.00 3,721,585.00 Capital Reserve 180,033.00 180,033.00 Resort Tax - South Beach 1,311,000.00 1,311,000.00 Resort Tax - Mid Beach 1,249,000.00 1,249,000,00 Resort Tax - North Beach 796,000.00 796,000.00 MDC ILA 7,390,575.00 Il' 7,390,575.00 Line of Credit (1,630,900.00) (1,630,900.00) RDA City Center Capital Fund 20,000,000.00 20,000,000.00 Gulf Breeze Bond Fund 15,483.69 15,483.69 1996 RCP 15M GO Bond 5,566.00 5,566.00 1999 GO Bonds Fire Safety 10,859.34 10,859.34 2003 GO Bonds Fire Safety 3,503.57 3,503.57 2003 GO Bonds Parks & Rec 46,349.00 46,349.00 South Pointe Capital - - Water & Sewer Projects funded from Operations 400,000.00 400,000.00 2017 Water & Sewer Bonds 3,512,500.00 3,512,500.00 2017 Storm Water Bonds 13,324,330.75 13,324,330,75 Storm Water Projects - MDC ILA 2,200,000.00 2,200,000.00 Convention Center Operating Fund 1,744,950.00 1,744,950.00 RDA Garages 100,000.00 100,000.00 Penn Garage Fund 135,000.00 135,000.00 Parking Operations (160,000.00) (160,000.00) Parking Capital not Bonds 2,679,000.00 2,679,000.00 Fleet Management 3,030,000.00 3,030,000.00 Communications Fund 59,000.00 59,000.00 Total Appropriation as of 1/16/2019 $ 67,525,307.35 $ 448,225.00 $ 67,973,532.35 NOTE: $165,410.74 of funding for the Public Works Generator will be transferred from the following projects: Storage Tank Replacement - $95,699.87; Historic City Hall Booster Pump - $28,106.00; Police Station Domestic Water Pump - $34,445.87; and P.A.L, Building Exterior Paint - $7,159.00. $75, 000.00 of funding for the South Pointe Park HVAC Replacement will come from the following projects: South Pointe Park Remediation - $50,000.00; South Pointe Miscellaneous Improvements - $25,000.00. ATTACHMENT C FY 2018/19 CAPITAL BUDGET PROGRAMS AMENDED 1/16/2019 Program Area Amended FY19 Capital Budget Amended 1/16/19 Revised Capital Budget Bridges $ 760,000.00 $ 760,000.00 Convention Center 1,500,000.00 1,500,000.00 Environmental 451,000.00 451,000.00 Equipment 3,130,000.00 3,130, 000.00 General Public Buildings 478,580.00 448,225.00 926,805.00 Golf Courses 124,000:00 124,000.00 Parking Lots 341,000.00 341,000.00 Parks 5,908,500.00 (50,000.00) 5,858,500.00 Renewal & Replacement 7,357,875.60 75,000.00 7,432,875.60 Streets/ Sidewalk Improvements 33,646,351.75 (25,000.00) 33,621,351.75 Transit/ Transportation 7,051,000.00 7,051,000.00 Utilities 6,777,000.00 6,777,000.00 Total Appropriation as of 1/16/2019 $ 67,525,307.35 $ 448,225.00 $ 67,973,532.35 NOTE: $165,410.74 of funding for the Public Works Generator will be transferred from the following projects: Storage Tank Replacement - $95,699.87; Historic City Hall Booster Pump - $28,106.00; Police Station Domestic Water Pump - $34,445.87; and P.A.L. Building Exterior Paint - $7,159.00. $75,000.00 of funding for the South Pointe Park HVAC Replacement will come from the following projects: South Pointe Park Remediation - $50, 000.00; South Pointe Miscellaneous Improvements - $25, 000.00. MIAMI BEACH Resolutions - R7 A COMMISSION MEMORANDUM TO: Honorable Mayor and Members of the City Commission FROM: Jimmy L. Morales, City Manager DATE: January 16, 2019 2 :00 p.m. Public Hearing SUBJECT:A RESOLUTION OF THE MAYOR AND CITY COMMISSION OF THE CITY OF MIAMI BEACH, FLORIDA, ADOPTING THE THIRD AMENDMENT TO THE CAPITAL BUDGET FOR FISCAL YEAR 2018/19. RECOMMENDATION See Memorandum attached. Legislative Tracking Budget and Performance Improvement ATTACHMENTS: Description 3rd Amendment to FY 2018/19 Capital Budget D Resolution Page 1008 of 1648 City of Miami Beach, 1700 Convention Center Drive, Miami Beach, Florida 33139, www.miamibeachfl.gov COMMISSION MEMORANDUM TO: Mayor Dan Gelber and Members of the City Commission FROM: Jimmy L. Morales, City Manager DATE: January 16, 2019 SUBJECT: A RESOLUTION OF THE MAYOR AND CITY COMMISSION OF THE CITY OF MIAMI BEACH, FLORIDA, ADOPTING THE THIRD AMENDMENT TO THE CAPITAL BUDGET FOR FISCAL YEAR 2018/19. ADMINISTRATION RECOMMENDATION Adopt the Resolution. BACKGROUND Planning for capital improvements is an ongoing process; as needs change within the City of Miami Beach ( "the City "), capital programs and priorities must be adjusted accordingly. The Capital Improvement Plan ( "CIP ") serves as the primary planning tool for systematically identifying, prioritizing and assigning funds to critical City capital development, improvements and associated needs. The City's CIP process begins in the spring when all departments are asked to prepare capital improvement updates and requests on the department's ongoing and proposed capital projects. Individual departments prepare submittals identifying potential funding sources and requesting commitment of funds for their respective projects. The CIP is updated annually and submitted to the City Commission for adoption. The 2018/19 — 2022/23 Capital Improvement Plan and FY 2018/19 Capital Budget was adopted on September 26, 2018 by Resolution 2018 - 30515. The First Amendment to the FY 2018/19 Capital Budget was approved on November 14, 2018 by Resolution 2018- 30610. The Second Amendment to the FY 2018/19 Capital Budget was approved on December 12, 2018 by Resolution 2018 - 30649, Section 166.241(4) (c.), Florida Statutes, requires that a municipality's budget amendment must be adopted in the same manner as the original budget. The Administration recommends adopting the Resolution for the Third Amendment to the FY 2018/19 Capital Budget. Page 1009 of 1648 Resolution Adopting the Third Amendment to the Capital Budget for FY 2018/19 January 16, 2019 Page 2 of 3 THIRD AMENDMENT TO THE FY 2018/19 CAPITAL BUDGET The Third Amendment to the FY 2018/19 Capital Budget totals an increase of $448,225.00 and re- alignment of $240,410.74 in order to provide additional funding for, and to reallocate funding between the following capital projects: 1. Sunset Islands 1 & 2 Guardhouse: At the June 29, 2018 Finance and Citywide Projects Committee ( "FCWPC ") meeting, the Committee recommended increasing funding for additional improvements associated with this project, in conjunction with the construction of a second guardhouse structure. These recommendations were subsequently approved by the City Commission on July 25, 2018. Due to its increasingly worn condition, Sunset Islands 1 & 2 neighborhood homeowners association (HOA) requested construction modifications to their existing security guardhouse (kiosk), which is positioned at the entrance of the neighborhood. In order to initiate the procurement process, the HOA executed maintenance and funding agreements with the City. The project's enhancements entail, but are not limited to, the following deliverables: renovation of the existing guardhouse, including the restroom, cooling system, lighting, new roof; and the construction of a new Guard House Kiosk in the center of the entrance road (West 29th Street)' widening of the existing median, hardscape improvements and brick pavers, conduits for the HOA's security system, new security gates, landscaping, and irrigation system. The City has received a contribution of $448,225 from the HOA towards the enhancement of this project. This proposed budget amendment would appropriate the funds received from the HOA through the Capital Projects Financed by other Funds fund balance (Fund 301). Prior Years' Appropriations $ 200,000.00 January 16, 2019 Budget Amendment 448,225.00 Proposed Total Appropriations $ 648,225.00 2. Public Works Facility Generator: The City needs to install an emergency generator at the Public Works Yard. This project consists of one 600 kW Kohler generator, as well as a number of ancillary items such as an automatic transfer switch, an enclosure, a fuel system and a concrete base. Due to the 4 to 6 -month lead time on generators of this magnitude, and in an effort to have it installed and properly working prior to hurricane season, the City utilized the IQC process as the purchase authority. On November 6, 2018, after negotiations, the Contractor submitted a bid proposal, utilizing the Catalog, in the amount of $325,242.84 for the project. The project has a current available balance of $174,149.86. This amendment would allow for the additional funding needed to cover the proposed bid in addition to a 4% contingency. Funding for this proposed amendment would come from the transfer of funds previously appropriated to the projects outlined below: • Storage Tank Replacement - $95,699.87 — Capital Renewal & Replacement Fund 125 (Project has been completed with savings) Page 1010 of 1648 Resolution Adopting the Third Amendment to the Capital Budget for FY 2018/19 January 16, 2019 Page 3of3 • Historic City Hall Booster Pump - $28,106.00 — Capital Renewal & Replacement Fund 125 (Project has been completed with savings) • Police Station Domestic Water Pump - $34,445.87 — Capital Renewal & Replacement Fund 125 (Project has been completed, in conjunction with the Police Booster Pump project 69950, with savings) • P.A.L. Building Exterior Paint - $7,159.00 — Capital Renewal & Replacement Fund 125 (Project has been completed with savings) Prior Years' Appropriations $ 195,314.00 January 16, 2019 Budget Amendment 165,410.74 Proposed Total Appropriations $ 360,724.74 3. South Pointe Park HVAC Replacement: On December 20, 2018, the Property Management Department conducted a visual inspection of the Parks and Recreation building located at South Pointe Park. The air conditioning unit, due to both its location and use, has reached the end of its useful life. The unit will not be able to endure the demand for cooling during the upcoming summer months. The Capital Improvement Projects department (CIP) is currently working on two projects in the South Pointe area from which they have been able to identify savings for the replacement of the air conditioning unit. This amendment would allow for the funding of this replacement in the amount of $75,000.00. Funding for this proposed amendment would come from the transfer of funds previously appropriated to the projects outlined below: • South Pointe Park Remediation — $50,000.00 — South Pointe Capital Fund 389 (Possible project savings identified as CIP is in the process of finalizing the scope of work) • South Pointe Miscellaneous Improvements — $25,000.00 — South Pointe Renewal & Replacement Fund 126 (Possible project savings identified as CIP is in the process of finalizing the scope of work) Prior Years' Appropriations $ 0.00 January 16, 2019 Budget Amendment 75,000.00 Proposed Total Appropriations $ 75,000.00 JLM /JW /TOS Page 1011 of 1648