RESOLUTION 91-20352 RESOLUTION NO. 91-20352
A RESOLUTION OF THE CITY COMMISSION OF THE CITY OF MIAMI BEACH,
FLORIDA, AMENDING FY 1990/91 BUDGETS PROVIDING FOR 1)REALLOCAT I ON OF
FUNDING BETWEEN GENERAL FUND DEPARTMENTS THEREBY INCREASING THE
APPROPRIATIONS OF CERTAIN DEPARTMENTS AND DECREASING APPROPRIATIONS
OF OTHERS; 2)INCREASED APPROPRIATION OF PARKING ENTERPRISE FUND BY
$366,171, FUNDING PROVIDED FROM RETAINED EARNINGS; WATER AND SEWER
ENTERPRISE FUND BY $292,377 WITH FUNDING AVAILABLE FROM RETAINED
EARNINGS; AND SANITATION ENTERPRISE FUND BY $414,173 WITH FUNDING
PROVIDED FROM AN INCREASE IN THE GENERAL FUND CONTRIBUTION; AND
3 INCREASED APPROPRIATION TO MECHANICAL MAINTENANCE INTERNAL SERVICE
FUND BY $238,780 WITH FUNDING PROVIDED FROM RETAINED EARNINGS.
WHEREAS, a review of departmental expenditures and encumbrances indicates
savings in some departments and overexpenditure of appropriated amounts in other
p
departments; and,
WHEREAS, Florida Statute prohibits the over-expenditure of departmental
budgets and that in order to comply it is necessary to increase appropriations
g Beach Patrol
for General Fund Departments as follows: by $88,438; Legal by
$47,224; and Police by $721,411 . These increases will be offset by decreases to
other departments' budgets as follows: City Clerk by $43,492, Computers and
Communications by $60,330, Economic Development by $40,722,pFinance by $30,867,
Historic Preservation by $44,984, Parks and Recreation by $297,755, Personnel by
$91,690 and Public Works by $247,233. Further, it is necessary to increase
appropriations ro riations to Enterprise Fund budgets as follows: Parking by $366, 171, Water
and Sewer by $292,377 and Sanitation by $414, 173; and Mechanical Maintenance
Internal Service Fund by $238,780; and, making provision for correction to the
previous amendment to the Parking Enterprise Fund budget to reflect the current
budget as amended on May 18, 1991 .
WHEREAS, the increased appropriations to certain General Fund departments
will be offset by decreases in other departments which have been able to
generate savings during the fiscal year; funding for the Parking Enterprise Fund
and Water and Sewer Enterprise Fund is available from those funds' retained
earnings accounts; funding for the Sanitation Enterprise Fund will be provided
'1
from an increase in the General Fund contribution available e from savings in other
unclassified accounts in the General Fund; and funding for the Mechanical
Maintenance Internal Service Fund is available from that fund's retained earnings
account.
NOW, THEREFORE, BE IT DULY RESOLVED BY THE CITY COMMISSION OF THE CITY OF
MIAMI BEACH, FLORIDA, that the City Commission of the City of Miami Beach hereby
amends the budgets for the General Fund, Parking, Water and Sewer and Sanitation
Enterprise Funds and Mechanical Maintenance Internal Service Fund, reallocating
funds within the General Fund; increasing the Parking Enterprise Fund operating
budget by $366,171 , increasing the Water and Sewer Enterprise Fund budget by
$292,377, increasing the Sanitation Enterprise Fund budget by $414, 173, and
increasing the Mechanical Maintenance Internal Service Fund budget by $238,780
with corresponding increases in revenues as herein summarized and set forth
below.
FY 90/91 Increase/ FY 90/91
Current Budget (Decrease) Amended Budget
GENERAL FUND
OPERATING REVENUES
Taxes $50, 186,782 $ 0 $50, 186,782
Licenses and Permits 4,713,800 0 4,713,800
Intergovernmental 7,465,351 0 7,465,351
Charges for Service 890,700 0 890,700
Fines and Forfeits 2,336,250 0 2,336,250
Interest 2,500,000 0 2,500,000
Rents and Leases 1 ,003,446 0 1,003,446
Miscellaneous 6,789,664 0 6,789,664
Other 250,000 0 250,000
Fund Balance 479,647 0 479,647
Subtotal $76,615,640 $ 0 $76,615,640
GENERAL OBLIGATION
DEBT SERVICE
Ad Valorem Taxes $11,193,456 $ 0 $11, 193,456
Fund Balance 1,156,544 0 1, 156,544
Subtotal $12,350,000 $ 0 $12,350,000
Total Revenues $88,965,640 0 $88,965,640
FY 90/91 Increase/ FY 90/91
Current Budget (Decrease) Amended Budget
APPROPRIATIONS
Mayor $ 522,686 $ 0 $ 522,686
City Manager 891,021 0 891 ,021
Bass Museum 435,833 0 435,833
Beach Patrol 2,635,686 88,438 2,724, 124
Building 1, 198,614 0 1, 198,614
City Clerk 596, 122 (43,492) 552,630
Computers 1,512,667 (60,330) 1,452,337
Convention Center - TOPA 330,969 0 330,969
Economic. Development 583,032 (40,722) 542,310
Finance 1,621,004 (30,867) 1,590, 137
Fire 15,454,556 0 15,454,556
Historic Preser/Urban Design 324,786 (44,984) 279,802
Intergovt'l Affairs/Special Proj 547,996 0 547,996
Labor Relations 148,064 0 148,064
Legal 1,158,546 47,224 1,205,770
Management and Budget 667,861 0 667,861
Parking Enforcement 772, 140 0 772, 140
Parks and Recreation 6,319,975 (297,755) 6,022,220
Personnel 1, 180,897 (91,690) 1,089,207
Planning 708,405 0 708,405
Police 28,356,985 721,411 29,078,396
Public Works 2,284,838 (247,233) 2,037,605
Purchasing 480,525 0 480,525
Warehouse 178,863 0 178,863
Unclassified Accounts 7,703,569 0 7,703,569
Subtotal $76,615,640 $ 0 $76,615,640
GENERAL OBLIGATION
DEBT SERVICE
Ad Valorem Taxes $11, 193,456 $ 0 $11 , 193,456
Fund Balance 1, 156,544 0 1 , 156,544
Subtotal $12,350,000 $ 0 $12,350,000
Total General Fund $882965,640 $ _ 0 $88,965,640
ENTERPRISE FUNDS
Convention Center $7,807,690 $ 0 $7,807,690
Parking 5,355,793 366, 171 5,721 ,964
Sanitation 3,006,802 414, 173 3,420,975
Water and Sewer 19,295,728 292,377 19,588, 105
Total Enterprise Funds $35,466,013 $1,072,721 $36g538,734
INTERNAL SERVICE FUNDS
Building Maintenance $2,343,306 $ 0 $2,343,306
Central Services 575,374 0 575,374
Communications 1,527,237 0 1,527,237
Mechanical Maintenance 3,789,493 238,780 4,028,273
Self Insurance 5,584,541 0 5,584,541
Total Internal Service Funds $13,819,951 $ 238,780 $14,058,731
PASSED and ADOPTED this 11th day of September, 1991 .
(1:
VICE-MAYOR
Attest by:
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ALIL- 2-AL_IEII.IL-5_Y°-
City Clerk
Form Approved:
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City Attorn y
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Fund s Approved: •
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Managtement and :udget
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FLORIDA 3 3 1 3 9
;* INCORPORAT EDj*i aaVACA TIONLANL) U. S. A.
OFFICE OF THE CITY MANAGER CITY HALL
1700 CONVENTION CENTER DRIVE
TELEPHONE: 673-7010
-9/
COMMISSION COMMISSION MEMORANDUM NO. 3- 40
DATE: Septamher 11 , 1991
TO: Mayor Alex Daoud and
Members of the City Commission
FROM: Carla Bernabei Talarico
City Manager
SUBJECT: A RESOLUTION AMENDING FISCAL YEAR 1990/91 BUDGETS FOR THE GENERAL
FUND, ENTERPRISE FUNDS AND INTERNAL SERVICE FUND.
The attached resolution provides for amendments to the FY 90/91 budgets of the
General Fund, Enterprise Funds and Internal Service Fund.
A fiscal year end projection of departmental expenditures indicates the need for
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additional appropriations to certain departments. This increase will be offset
by decreases in other departments. These increased appropriations along with a
reallocation of current appropriations is as follows:
N
1. GENERAL FUND - REALLOCATION OF CURRENT APPROPRIATIONS
Increased Appropriations
DEPARTMENT AMOUNT
Beach Patrol $ 88,438
Legal 47,224
Police 721,411
Total Increase $ 857,073
Decreased Appropriations
DEPARTMENT AMOUNT
City Clerk $ (43,492)
Computers and Communications (60,330)
Economic Development (40,722)
Finance (30,867)
Historic Preservation (44,984)
Parks and Recreation (297,755)
ti Personnel (91,690)
• Public Works (247,233)_
Total Decrease $(857,073)
2. ENTERPRISE FUNDS
Parking $ 366, 171
Water and Sewer 292,377
• Sanitation 414,173
ro
Increased appropriations for the Parking and Water and Sewer Enterprise Funds
•i P P P
will be funded from those funds' retained earnings accounts; the Sanitation
Enterprise Fund will be funded from an increase in the General Fund contribution
available from savings in other unclassified accounts.
3. MECHANICAL MAINTENANCE INTERNAL SERVICE FUND - $238,780
The increased appropriation to the Mechanical Maintenance Internal Service Fund
will be funded from that fund's retained earnings account.
ADMINISTRATION RECOMMENDATION
The Administration recommends that the City Commission adopt the attached
resolution providing for amendments to the FY 90/91 budgets for the General Fund,
Enterprise Funds and Internal Service Fund. _ 61
AGENDA
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DATE 9- //- f/
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ORIGINAL
RESOLUTION NO. 91-20352
Amending FY 1990/91 budgets providing for
1) reallocation of funding between general
fund departments thereby increasing the
appropriations of certain departments and
decreasing appropriations of others; 2)
increased appropriation of parking
enterprise fund by $366, 171, funding
provided from retained earnings; water
and sewer enterprise fund by $292,377 with
funding available from retained earnings;
and sanitation enterprise fund by $414, 173
with funding provided from an increase in
the general fund contribution; and 3)
increased appropriation to mechanical
maintenance internal service fund by
$238,780 with funding provided from
retained earnings.