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645-2019 RDA RESOLUTION NO. 645-2019 A RESOLUTION OF THE CHAIRPERSON AND MEMBERS OF THE MIAMI BEACH REDEVELOPMENT AGENCY, ADOPTING THE FINAL OPERATING BUDGETS FOR THE CITY CENTER REDEVELOPMENT AREA, THE ANCHOR SHOPS AND PARKING GARAGE, AND THE PENNSYLVANIA AVENUE SHOPS AND PARKING GARAGE FOR FISCAL YEAR 2020. WHEREAS, on November 16, 1993, Miami-Dade County ("County") and the City approved and entered into an Interlocal Agreement, by which the County delegated to the City certain redevelopment powers, including but not limited to the creation of the City Center Redevelopment Area and implementation of the City Center Redevelopment Plan; and WHEREAS, the First Amendment to the Interlocal Agreement, approved by the County, through Resolution No. R-889-03, and approved by the City, through Resolution No. 2003- 25241, delegated to the City the power to develop and implement community policing initiatives; and WHEREAS, the Second Amendment to the Interlocal Agreement, approved by the County, through Resolution No. R-958-04, and approved by the City, through Resolution No. 2004-25560, allowed the City Center Redevelopment Agency (RDA) to refund certain bonds and provided for an annual fee of one and one-half percent to be paid to the County and City annually to defray administrative costs after debt service and all other obligations related to the bonds or future indebtedness was satisfied for the fiscal year; and WHEREAS, the Third Amendment to the Interlocal Agreement, approved by the County, through Resolution No. R-1110-14; and approved by the City, through Resolution No. 2014- 28835, among other things, required that the use of tax increment revenues to fund the RDA's expenses for administration, community policing, and capital projects maintenance shall not exceed the prior fiscal year's distribution for such expenses, adjusted by the lesser of the Miami Urban Area CPI, or 3%, annually to be calculated using the Miami Fort Lauderdale All Urban Consumers CPI from July to June for the prior year; and WHEREAS, the Fourth Amendment to the Interlocal Agreement, approved by the County, through Resolution No. R-644-18, and approved by the City, through Resolution No. 2018-30288, provided for the following: 1) added expenditures to the authorized expenditures of the RDA; 2) allowed the RDA to reimburse the City $6,914,221 for construction delays and damages to the Convention Center renovation and expansion project resulting from Hurricane Irma in Fiscal Year 2018; 3) allocated additional funding in an amount up to $20.0 million to fund the Lincoln Road project, previously authorized as part of the Third Amendment, for a total project amount of up to $40.0 million for the Lincoln Road project; 4) distributes to both the County and the City, beginning in Fiscal Year 2018, and continuing through Fiscal Year 2023, an annual reimbursement based on each entity's proportionate share of expenditures for administration, community policing, and capital projects maintenance; 5) requires that both the County and the City set aside $1.5 million of the annual reimbursement for beach renourishment that can be utilized to leverage State or Federal funding for beach renourishment projects; and 6) utilizes any excess revenues, after the foregoing distributions, for the early prepayment of debt, as originally stipulated in the Third Amendment to the Interlocal Agreement; and WHEREAS, the City Center RDA budget has been prepared to coincide with the overall City budget process; and WHEREAS, the City Center RDA budget reflects anticipated project costs in addition to operating and debt service costs for Fiscal Year 2020; and WHEREAS, the budgets for the Anchor Shops and Garage and the Pennsylvania Avenue Shops and Garage have been included as separate schedules to the City Center RDA budget, reflecting projected revenues and operating expenditures for Fiscal Year 2020; and WHEREAS, the Executive Director of the Miami Beach Redevelopment Agency recommends approval of the Fiscal Year 2020 operating budgets for the City Center RDA, the Anchor Shops and Parking Garage, and the Pennsylvania Avenue Shops and Parking Garage. NOW, THEREFORE, BE IT DULY RESOLVED BY THE CHAIRPERSON AND MEMBERS OF THE MIAMI BEACH REDEVELOPMENT AGENCY, that the Chairperson and Members of the Miami Beach Redevelopment Agency hereby adopt the final operating budgets for the City Center Redevelopment Area, the Anchor Shops and Parking Garage, and the Pennsylvania Avenue Shops and Parking Garage for Fiscal Year 2020 as outlined below and further detailed in the attached Exhibit"A." City Center Redevelopment Area $69,701,000 Anchor Garage Parking Operations 3,569,000 Anchor Garage Retail Operations 1,422,000 Pennsylvania Avenue Garage Parking Operations 920,000 Pennsylvania Avenue Garage Retail Operations 322,000 PASSED AND ADOPTED this 25th day of September, 2019. ATTEST: IF\P' '............ ..� ,y`i ,w�; = ��+ *.Dan Gelber, Chairperson ges%L �m� k — =INCORP ORATED: el E. Granado, Secr- ry I `�4-9y•.. y ? y APPROVED AS TO rt,u H 2, FO: LANGUAGE FO" EXECUTION _g� / City Attorney Date EXHIBIT A Miami Beach Redevelopment Agency City Center Redevelopment Area Operating Budget FY 2017 FY 2018 FY 2019 FY 2020 FY 2020 Prop to Actual Actuals Adopted Proposed FY 201.9 Adop Revenues and Other Sources of Income Tax Increment-City 28,855,233 29,410,189 31,025,000 32,468,000 1,443,000 Proj Adjustment to City Increment (1,722,849) (1,912,241) (1,726,000) (1,266,000) 460,000 TaxIncrement-County 23,587,278 23,985,462 25,253,000 26,429,000 1,176,000 Proj Adjustment to County Increment (1,387,657) (1,563,133) (1,411,000) (1,053,000) 358,000 1/2 Mill Children's Trust Contribution 2,511,086 0 0 0 0 Interest Income 238,984 855,648 360,000 461,000 101,000 Fund Balance/Retained Earnings 0 18,463,619 32,294,000 12,662,000 (19,632,000) Other Income/Adjustments: 0 822,399 0 0 0 TOTAL REVENUES $ 52,082,075 $ 70,061,942 $ 85,795,000 $ 69,701,000 $ (16,094,000) Admin/Operating Expenditures Management Fee 984,000 390,000 422,000 602,000 180,000 Audit fees 19,877 (179,900) 23,000 24,000 1,000 Professional&Related fees 0 6,133 0 0 0 Repairs and Maintenance 15,171 10,434 139,000 0 (139,000) Internal Services 60,921 154,000 155,000 147,000 (8,000) Total Admin/Operating Expenditures $ 1,079,969 $ 380,667 $ 739,000 $ 773,000 $ 34,000 Project Expenditures Community Policing: Police 4,330,794 4,453,401 4,531,000 4,866,000 335,000 Code Compliance 195,286 146,963 216,000 216,500 500 Capital Projects Maintenance: Property Mgmt 1,178,501 1,460,801 1,671,000 1,492,000 (179,000) Sanitation 3,803,855 4,121,812 4,241,000 4,241,000 .0 Greenspace 585,263 645,318 826,000 779,500 (46,500) Parks Maintenance 375,991 416,596 438,000 446,000 8,000 Total Project Expenditures $ 10,469,690 $ 11,244,892 $ 11,923,000 $ 12,041,000 $ 118,000 Reserves,Debt Service and Other Obligations Debt Service Cost 21,666,333 21,665,092 21,683,000 21,686,000 3,000 Reserve for County Admin Fee 332,994 336,335 358,000 381,000 23,000 Reserve for CMB Contribution •.405,986 412,469 440,000 469,000 29,000 Reserve for Children's Trust Contribution 2,51 1,086 0 0 0 0 Reserve for County Reimbursement: Transfer to County Reimbursement 0 3,697,398 4,022,000 4,181,000 159,000 Transfer to County Beach Renourishment Fund 0 1,500,000 1,500,000 1,500,000 0 Reserve for City Reimbursement: Transfer to General Fund 0 1,079,000 4,400,000 4,414,000 14,000 Transfer to PAYGO Capital Fund 0 3,773,000 872,000 0 (872,000) Transfer to Beach Renourishment Fund 0 1,500,000 1,500,000 1,500,000 0 Transfer for RDA Capital Fund 0 6,914,221 20,000,000 0 (20,000,000) Transfer to Fleet Management Fund 0 0 0 1,067,000 1,067,000 Transfer to Convention Center 0 1,000,000 1,750,000 2,500,000 750,000 Set-aside for Debt Payoff 15,616,017 16,558,868 16,608,000 19,189,000 2,581,000 Total Reserves,Debt Service&Other Obligations $ 40,532,417 $ 58,436,383 $ 73,133,000 $ 56,887,000 $ (16,246,000) TOTAL EXPENDITURES AND OBLIGATIONS $ 52,082,075 $ 70,061,942 $ 85,795,000 $ 69,701,000 $ (16,094,000) SURPLUS/(GAP) $ 0 $ 0 .$ 0 $ 0 $ 0 EXHIBIT A Anchor Shops and Anchor Garage Operating Budget Anchor Parking Garage FY 2017 FY 2018 FY 2019 FY 2020 FY 2020 Prop to Revenues: Actual Actuals Adopted Proposed FY 2019 Adop Valet Parking 429,544 313,881 400,000 313,000 (87,000) Monthly Permits 555,461 565,337 572,000 564,000 (8,000) Attended Parking 2,853,113 2,645,486 3,586,000 2,457,000 (1,129,000) Interest Income 84,487 189,088 152,000 235,000 83,000 Misc./Other 1,320 (2,742) 1,000 0 (1,000) Fund Balance-Retained Earnings 0 0 0 0 0 TOTAL REVENUES $ 3,923,925 $ 3,711,050 $ 4,711,000 $ 3,569,000 $ (1,142,000) Operating Expenditures: Operating Expenditures 3,217,797 3,138,347 3,418,000 2,918,000 (500,000) Transfer Out to Penn Garage 87,000 110,000 18,000 68,000 50,000 Internal Services 159,036 351,000 308,000 170,000 (138,000) Capital 0 16,746 0 0 0 Contingency/Reserve 0 0 967,000 413,000 (554,000) TOTAL EXPENDITURES $ 3,463,833 $ 3,616,094 $ 4,711,000 $ 3,569,000 $ (1,142,000) Revenues Less Expenditures $ 460,092 $ 94,956 $ 0 $ 0 $ 0 Anchor Shops FY 2017 FY 2018 FY 2019 FY 2020 FY 2020 Prop to Revenues: Actual Actuals Adopted Proposed FY 2019 Adop Retail Leasing 1,197,840 1,101,352 1,274,000 1,101,000 (173,000) Capital&Maintenance 148,709 148,509 148,000 148,000 0 Interest Earned 55,430 119,213 98,000 173,000 75,000 Miscellaneous 0 54 0 0 0 TOTAL REVENUES $ 1,401,978 $ 1,369,127 $ 1,520,000 $ 1,422,000 $ (98,000) Operating Expenditures: Operating Expenditures 156,750 73,027 213,000 222,000 9,000 Transfer Out to Penn Shops 313,000 490,000 460,000 297,000 (163,000) Internal Services 29,000 30,000 31,000 80,000 49,000 Capital 14,954 0 0 0 0 Contingency/Reserve 0 0 816,000 823,000 7,000 TOTAL EXPENDITURES $ 513,704 $ 593,027 $ 1,520,000 $ 1,422,000 $ (98,000) Revenues Less Expenditures $ 888,274 $ 776,100 $ 0 $ 0 $ 0 COMBINED REVENUES-EXPENDITURES $ 1,348,366 $ 871,055 $ 0 $ 0 $ 0 EXHIBIT A Pennsylvania Avenue Shops and Pennsylvania Avenue Garage Operating Budget Pennsylvania Parking Garage FY 2017 FY 2018 FY 2019 FY 2020 FY 2020 Prop to Revenues: Actual Actuals Adopted Proposed FY 2019 Adop Transient 519,359 494,304 632,000 541,000 (91,000) Monthly 393,390 330,070 314,000 288,000 (26,000) Miscellaneous 224 347 0 0 0 Interest Income 9,501 23,037 18,000 23,000 5,000 Transfer In from RDA(Anchor Garage) 87,000 110,000 18,000 68,000 50,000 Retained Earnings 0 0 0 0 0 TOTAL REVENUES $ 1,009,475 $ 957,758 $ 982,000 $ 920,000 $ (62,000) Operating Expenses: Operating Expenditures 1,021,729 1,014,753 968,000 861,000 (107,000) Internal Services 26,890 98,000 9,000 59,000 50,000 Capital 0 0 5,000 0 (5,000) TOTAL EXPENDITURES $ 1,048,618 $ 1,112,753 $ 982,000 $ 920,000 $ (62,000) Revenues Less Expenditures $ (39,144) $ (154,995) $ 0 $ 0 $ 0 Pennsylvania Shops FY 2017 FY 2018 FY 2019 FY 2020 FY 2020 Prop to Revenues: Actual Actuals Adopted Proposed FY 2019 Adop Retail Leasing 0 1 0 0 0 Capital&Maintenance 0 0 0 24,000 24,000 Interest Earned462 1,472 1,000 1,000 0 Transfers In from RDA(Anchor Shops) 313,000 490,000 460,000 297,000 (163,000) TOTAL REVENUES $ 313,462 $ 491,473 $ 461,000 $ 322,000 $ (139,000) Operating Expenses: Operating Expenditures I 330,213 353,438 461,000 322,000 (139,000) TOTAL EXPENDITURES $ 330,213 $ 353,438 $ 461,000 $ 322,000 $ (139,000) Revenues Less Expenditures $ (16,751) $ 138,035 $ 0 $ 0 $ 0 COMBINED REVENUES-EXPENDITURES $ (55,895) $ (16,960) $ 0 $ 0 $ 0 Redevelopment Agency - RDA 1. MIAMI BEACH COMMISSION MEMORANDUM TO: Honorable Mayor and Members of the City Commission FROM: Jimmy L. Morales, City Manager DATE: September 25, 2019 SUBJECT:A RESOLUTION OF THE CHAIRPERSON AND MEMBERS OF THE MIAMI BEACH REDEVELOPMENT AGENCY, ADOPTING THE FINAL OPERATING BUDGETS FOR THE CITY CENTER REDEVELOPMENT AREA, THE ANCHOR SHOPS AND PARKING GARAGE, AND THE PENNSYLVANIA AVENUE SHOPS AND PARKING GARAGE FOR FISCAL YEAR 2020. RECOMMENDATION See attached Memorandum. Applicable Area Citywide Is this a Resident Right to Does this item utilize G.O. Know item? Bond Funds? Yes No Legislative Tracking Office of Management and Budget ATTACHMENTS: Description ❑ FY 2020 MEMO-RDA D Resolution Page 509 of 540 /v\ IA/v\ 1 _ City of Miami Beach, 1700 Convention Center Drive,Miami Beach, Florida 33139,www.miamibeachfl.gov REDEVELOPMENT AGENCY MEMORANDUM TO: Mayor Dan Gelber and Members of the City Commission FROM: Jimmy L. Morales, City Manager DATE: September 25, 2019 SUBJECT: A RESOLUTION OF THE CHAIRPERSON AND MEMBERS OF THE MIAMI BEACH REDEVELOPMENT AGENCY,ADOPTING THE FINAL OPERATING BUDGETS FOR THE CITY CENTER REDEVELOPMENT AREA,THE ANCHOR SHOPS AND PARKING GARAGE, AND THE PENNSYLVANIA AVENUE SHOPS AND PARKING GARAGE FOR FISCAL YEAR 2020 ADMINISTRATION RECOMMENDATION The Administration recommends that the Chairperson and members of the Miami Beach Redevelopment Agency adopt the attached Resolution which establishes the final budgets for the City Center Redevelopment Area (RDA), the Anchor Shops and Parking Garage, and the Pennsylvania Avenue Shops and Parking Garage for Fiscal Year 2020. BACKGROUND On January 26,1993, Miami-Dade County adopted Resolution No. R-14-93, which, among other things, found the area of Miami Beach bounded on the east by the Atlantic Ocean, on the north by 24th Street, on the west by West Avenue, and on the south by 14th Lane to be a "blighted area" within the meaning of Part III of Chapter 163, Florida Statutes, and delegated to the City of Miami Beach, pursuant to Section 163.410, Florida Statutes, certain powers conferred upon the County Commission as the governing body of Dade County by Part III of Chapter 163, Florida Statutes,with regard to the Redevelopment Area, so that the City Commission, either directly or through its duly designated community redevelopment agency, could exercise such powers. On November 16, 1993, the County and the City approved and entered into an Interlocal Agreement, by which the County delegated to the City certain redevelopment powers, including but not limited to the creation of the Redevelopment Area and implementation of the Redevelopment Plan. The First Amendment to the Interlocal Agreement, approved by the Miami-Dade Board of County Commissioners,through Resolution No. R-889-03, and approved by the City Commission,through Resolution No.2003-25241,delegated to the City the power to develop and implement community policing initiatives. The Second Amendment to the Interlocal Agreement, approved by the Miami-Dade Board of County Commissioners, through Resolution No. R-958-04, and approved by the City, through Resolution No. 2004-25560, allowed the Redevelopment Agency to refund certain bonds and provided for an annual fee of one and one-half percent to be paid to the County and City annually to Page 510 of 540 Redevelopment Agency Memorandum Fiscal Year 2020 City Center Operating Budget September 25, 2019 Page 2 of 5 defray administrative costs after debt service and all other obligations related to the bonds or future indebtedness was satisfied for the fiscal year. The Third Amendment to the Interlocal Agreement, approved by the Miami-Dade Board of County Commissioners,through Resolution No. R-1110-14,and approved by the City Commission,through Resolution No.2014-28835,among other things,allowed the Miami Beach Redevelopment Agency to issue $430 million in bonds to refund existing debt and partially fund the Miami Beach Convention Center expansion and renovation project; required that the use of tax increment revenues to fund the Miami Beach Redevelopment Agency's expenses for administration, community policing, and capital projects maintenance would not exceed the prior fiscal year's distribution for such expenses, adjusted by the lesser of the Miami Urban Area CPI or 3%annually to be calculated using the Miami Fort Lauderdale All Urban Consumers CPI from July to June for the prior year; and stipulated that any remaining funding would be used to retire debt early. The Fourth Amendment to the Interlocal Agreement, approved by the Miami-Dade Board of County Commissioners,through Resolution No. R-644-18,and approved by the City Commission,through Resolution No. 2018-30288, provided for the following: 1. Added certain expenditures to the authorized expenditures of the City Center RDA. 2. Allowed the RDA to reimburse the City$6,914,221 for construction delays and damages to the Convention Center renovation and expansion project resulting from Hurricane Irma. 3. Included proposed funding in an amount up to $20.0 million to fund the Lincoln Road project, previously authorized as part of the Third Amendment,for a total project amount of up to $40.0 million for the Lincoln Road project. 4. Distributed to both the County and the City, beginning in Fiscal Year 2018 and continuing until Fiscal Year 2023, a reimbursement based on each entity's proportionate share of previous year expenses for administration, community policing, and capital maintenance, and required that both set aside $1.5 million of the annual reimbursement for beach renourishment that could be utilized to leverage State or Federal funding for beach renourishment projects. 5. Utilized any excess revenues, after the foregoing distributions,for the early prepayment of debt, as originally stipulated in the Third Amendment to the Interlocal Agreement. The proposed budget for the City Center Redevelopment Area (RDA) for Fiscal Year 2020 has been prepared to coincide with the overall City budget process and is being presented to assist in providing a comprehensive overview of the City Center Redevelopment Area as set forth in the attached Exhibit A. ANALYSIS City Center Revenues Based on the 2019 Certification of Taxable Value from the Property Appraiser's Office released on July 1st, the certified value of property in City Center increased by 4.4%, or$0.3 billion, over the 2018 Certification of Taxable Value of$6.0 billion to$6.3 billion, marking the 9th year in a row that values are on the rise. The City portion of the tax increment totals $32.5 million and the County's portion of the tax increment totals $26.4 million. However, as in previous years, the City has received correspondence from the County advising of the finalization of the tax roll for the prior year, which in the case of 2017, reflects a decrease from the preliminary valuation for the same Page 511 of 540 Redevelopment Agency Memorandum Fiscal Year 2020 City Center Operating Budget September 25, 2019 Page 3 of 5 year and will result in a corresponding adjustment/reduction of TIF revenues totaling a combined $2.3 million for Fiscal Year 2020. Additional sources of revenue include an estimated $461,000 in interest income. Use of$12.7 million from prior year excess RDA Trust Fund revenues in accordance with the 4th Amendment of the RDA Interlocal Agreement to be allocated as follows for Fiscal Year 2020: 1. $5.7 million reimbursement to Miami-Dade County for year three(Fiscal Year 2020)of six of the annual reimbursement equal to the County's proportionate share of prior year administration, community policing, and capital projects maintenance expenses incurred in the prior year 2. $4.4 million contribution to the City's General Fund 3. $1.5 million to be set aside for beach renourishment 4. $1.1 million contribution to the City's Fleet Management Fund for replacement of General Fund vehicles in Fiscal Year 2020 with cash instead of debt financing City Center Expenditures Project-related expenditures account for approximately $12.0 million, which include $5.1 million allocated for community policing initiatives in City Center to continue to provide enhanced levels of staffing and services throughout the area, and$6.9 million for maintenance of City Center projects. There is no additional funding for ongoing and/or planned capital projects in City Center in Fiscal Year 2020 budget due to the extension of the RDA for the recent renovation and expansion of the Miami Beach Convention Center. Administrative expenditures account for$773,000, which include a management fee of$602,000 allocated to the General Fund to pay for direct and indirect staff support; $24,000 for annual audit fees; and $147,000 for internal services expenditures. The budget also includes$21.7 million in debt service payments to cover annual debt service costs related to the Convention Center bonds issued in 2015, as well as $19.2 million set aside for additional debt service. Funds set aside for additional debt service over and above the annual debt service payment can be used to finance any potential shortfalls in the City Center RDA or pay down the Convention Center bonds early, but not prior to Fiscal Year 2024. Other line-item expenditures include those items that, pursuant to the existing Bond Covenants, may only be expended once the annual debt service obligations have been met. These include a $2.5 million transfer to the Miami Beach Convention Center Fund for Fiscal Year 2020;$381,000 for the County's administration fee,which is equivalent to 1.5% of its respective Fiscal Year 2020 TIF payment; and $469,000 for the City's administration fee, which is also equivalent to 1.5% of its respective Fiscal Year 2020 TIF payment. Redevelopment Area Shops and Garages The revenues and expenditures associated with operations of the City Center Redevelopment Area Shops and Garages are presented as separate schedules in order to eliminate any perception that proceeds from the facilities' operations are pooled with Tax Increment Financing and other City Center Trust Fund revenues. Page 512 of 540 Redevelopment Agency Memorandum Fiscal Year 2020 City Center Operating Budget September 25, 2019 Page 4 of 5 Anchor Shops and Parking Garage Garage revenues and expenditures at the Anchor Garage are projected at approximately $3.6 million for Fiscal Year 2020. Revenues from operations are primarily derived from attended parking, month permits, and valet parking revenues of$3.3 million, combined. An additional $235,000 is estimated in interest income for Fiscal Year 2020. Operating expenditures, which include a contractual revenue-sharing obligation with the Loews, General Fund administrative fees, and a budgeted transfer to the Pennsylvania Avenue Garage,are approximately$3.2 million, resulting in a projected transfer to reserves of$413,000 for Fiscal Year 2020. Shops revenues and expenditures at the Anchor Shops are projected at approximately$1.4 million for Fiscal Year 2020. Revenues from operations are primarily derived from retail leasing and maintenance revenues of$1.2 million. An additional $173,000 is estimated in interest income for Fiscal Year 2020. Operating expenditures, which include General Fund administrative fees and a budgeted transfer to the Pennsylvania Avenue Shops, are $599,000, resulting in a projected transfer to reserves of$823,000 for Fiscal Year 2020. The Anchor Garage and Shops funds are not constrained by the stipulations of the City Center RDA Interlocal Agreement. Pennsylvania Avenue Shops and Garage In consideration of the fact that the Pennsylvania Avenue Garage and Shops was built by the RDA on City-owned property, operation of the facility has been structured in the form of a ground lease between the City and the RDA, providing terms for both the garage and shops operations. The garage operations include base rent and an administrative fee, consistent with that of the Anchor Garage, Parking's operational fee,and revenue sharing between the City and the City Center RDA. The retail operations include a retail lease rate based on 2010 retail market cap rates. The retail operations also include revenue sharing between the City and the City Center RDA. Overall, the facility is anticipated to generate approximately $853,000 of operating revenues in Fiscal Year 2020, primarily from parking operations, since the retail component of the facility,which is approximately 7,655 'quare feet of ground floor retail, is being leased to the Visitor's Center of the Miami Beach Chamber of Commerce that was displaced due to the renovation of the Miami Beach Convention Center and Moonlighter Fablab, Inc.that is a non-profit organization that serves as a Science, Technology, Engineering, Arts and Math (STEAM) education center, co-working space, and digital fabrication lab. As a result, the facility is anticipated to operate at a loss in Fiscal Year 2020; therefore, a transfer from the Anchor Garage and Shops of$68,000 and $297,000, respectively, is budgeted in Fiscal Year 2020 to subsidize the operations of the Pennsylvania Avenue Garage and Shops. Overall Fiscal Year 2020 expenditures for the facility are budgeted at approximately $1.2 million and are comprised of $920,000 in direct operating costs for the garage and $322,000 in retail-related operations. Similar to the Anchor Garage and Shops, the Pennsylvania Avenue Garage and Shops funds are not constrained by the stipulations of the City Center RDA Interlocal agreement. Page 513 of 540 Redevelopment Agency Memorandum Fiscal Year 2020 City Center Operating Budget September 25, 2019 Page 5 of 5 CONCLUSION The Fiscal Year 2020 City Center Redevelopment Area budget is$69.7 million.The Anchor Parking Garage and Retail Shops budget is$5.0 million,and the Pennsylvania Avenue Parking Garage and Retail Shops budget is $1.2 million. In order to address the existing and future obligations of the City Center Redevelopment Area, it is recommended that the Redevelopment Agency adopt the attached Resolution, which establishes the final budgets for the City Center Redevelopment Area (RDA), the Anchor Shops and Parking Garage, and the Pennsylvania Avenue Shops and Parking Garage for Fiscal Year 2020. Attachment A— Fiscal Year 2020 RDA Operating Budget (Exhibit A) JLM/JW/TOS Page 514 of 540 EXHIBIT A Miami Beach Redevelopment Agency City Center Redevelopment Area Operating Budget FY 2017 FY 2018 FY 2019 FY 2020 FY 2020 Prop to Actual Actuals Adopted Proposed FY 2019 Adop Revenues and Other Sources of Income Tax Increment-City 28,855,233 29,410,189 31,025,000 32,468,000 1,443,000 Proj Adjustment to City Increment (1,722,849) (1,912,241) (1,726,000) (1,266,000) 460,000 Tax Increment-County 23,587,278 23,985,462 25,253,000 26,429,000 1,176,000 Proj Adjustment to County Increment (1,387,657) (1,563,133) (1,411,000) (1,053,000) 358,000 1/2 Mill Children's Trust Contribution 2,511,086 0 0 0 0 Interest Income 238,984 855,648 360,000 461,000 101,000 Fund Balance/Retained Earnings 0 18,463,619 32,294,000 12,662,000 (19,632,000) Other Income/Adjustments: 0 822,399 0 0 0 TOTAL REVENUES $ 52,082,075 $ 70,061,942 $ 85,795,000 $ 69,701,000 $ (16,094,000) Admin/Operating Expenditures Management Fee 984,000 390,000 422,000 602,000 180,000 Audit fees 19,877 (179,900) 23,000 24,000 1,000 Professional&Related fees 0 6,133 0 0 0 Repairs and Maintenance 15,171 10,434 139,000 0 (139,000) Internal Services 60,921 154,000 155,000 147,000 (8,000) Total Admin/Operating Expenditures $ 1,079,969 $ 380,667 $ 739,000 $ 773,000 $ 34,000 Project Expenditures Community Policing: Police 4,330,794 4,453,401 4,531,000 4,866,000 335,000 Code Compliance 195,286 146,963 216,000 216,500 500 Capital Projects Maintenance: PropertyMgmt 1,178,501 1,460,801 1,671,000 1,492,000 (179,000) Sanitation 3,803,855 4,121,812 4,241,000 4,241,000 0 Greenspace 585,263 645,318 826,000 779,500 (46,500) Parks Maintenance 375,991 416,596 438,000 446,000 8,000 Total Project Expenditures $ 10,469,690 $ 11,244,892 $ 11,923,000 $ 12,041,000 $ 118,000 Reserves,Debt Service and Other Obligations Debt Service Cost 21,666,333 21,665,092 21,683,000 21,686,000 3,000 Reserve for County Admin Fee 332,994 336,335 358,000 381,000 23,000 Reserve for CMB Contribution 405,986 412,469 440,000 469,000 29,000 Reserve for Children's Trust Contribution 2,51 1,086 0 0 0 0 Reserve for County Reimbursement: 'Transfer to County Reimbursement 0 3,697,398 4,022,000 4,181,000 159,000 Transfer to County Beach Renourishment Fund 0 1,500,000 1,500,000 1,500,000 0 Reserve for City Reimbursement: Transfer to General Fund 0 1,079,000 4,400,000 4,414,000 14,000 Transfer to PAYGO Capital Fund 0 3,773,000 872,000 0 (872,000) Transfer to Beach Renourishment Fund 0 1,500,000 1,500,000 1,500,000 0 Transfer for RDA Capital Fund 0 6,914,221 20,000,000 0 (20,000,000) Transfer to Fleet Management Fund 0 0 0 1,067,000 1,067,000 Transfer to Convention Center 0 1,000,000 1,750,000 2,500,000 750,000 Set-aside for Debt Payoff 15,616,017 16,558,868 16,608,000 19,189,000 2,581,000 Total Reserves,Debt Service&Other Obligations $ 40,532,417 $ 58,436,383 $ 73,133,000 $ 56,887,000 $ (16,246,000) TOTAL EXPENDITURES AND OBLIGATIONS $ 52,082,075 $ 70,061,942 $ 85,795,000 $ 69,701,000 $ (16,094,000) SURPLUS/(GAP) : 0 $ 0 $ 0 $ 0 $ 0 Page 515 of 540 EXHIBIT A Anchor Shops and Anchor Garage Operating Budget Anchor Parking Garage FY 2017 FY 2018 FY 2019 FY 2020 FY 2020 Prop to Revenues: Actual Actuals Adopted Proposed FY 2019 Adop Valet Parking 429,544 313,881 400,000 313,000 (87,000) Monthly Permits 555,461 565,337 572,000 564,000 (8,000) Attended Parking 2,853,113 2,645,486 3,586,000 2,457,000 (1,129,000) Interest Income 84,487 189,088 152,000 235,000 83,000 Misc./Other 1,320 (2,742) 1,000 0 (1,000) Fund Balance-Retained Earnings 0 0 0 0 0 TOTAL REVENUES $ 3,923,925 $ 3,711,050 $ 4,711,000 $ 3,569,000 $ (1,142,000) Operating Expenditures: Operating Expenditures 3,217,797 3,138,347 3,418,000 2,918,000 (500,000) Transfer Out to Penn Garage 87,000 110,000 18,000 68,000 50,000 Internal Services 159,036 351,000 308,000 170,000 (138,000) Capital 0 16,746 0 0 0 Contingency/Reserve 0 0 967,000 413,000 (554,000) TOTAL EXPENDITURES $ 3,463,833 $ 3,616,094 $ 4,711,000 $ 3,569,000 $ (1,142,000) Revenues Less Expenditures $ 460,092 $ 94,956 $ 0 $ 0 $ 0 Anchor Shops FY 2017 FY 2018 FY 2019 FY 2020 FY 2020 Prop to Revenues: Actual Actuals Adopted Proposed FY 2019 Mop Retail Leasing 1,197,840 1,101,352 1,274,000 1,101,000 (173,000) Capital&Maintenance 148,709 148,509 148,000 148,000 0 Interest Earned 55,430 119,213 98,000 173,000 75,000 Miscellaneous 0 54 0 0 0 TOTAL REVENUES $ 1,401,978 $ 1,369,127 $ 1,520,000 $ 1,422,000 $ . (98,000) Operating Expenditures: Operating Expenditures 156,750 73,027 213,000 222,000 9,000 Transfer Out to Penn Shops 313,000 490,000 460,000 297,000 (163,000) Internal Services 29,000 30,000 31,000 80,000 49,000 Capital 14,954 0 0 b 0 Contingency/Reserve 0 0 816,000 823,000 7,000 TOTAL EXPENDITURES $ 513,704 $ 593,027 $ 1,520,000 $ 1,422,000 $ (98,000) Revenues Less Expenditures $ 888,274 $ 776,100 $ 0 $ 0 $ 0 COMBINED REVENUES-EXPENDITURES $ 1,348,366 $ 871,055 $ 0 $ 0 $ 0 Page 516 of 540 EXHIBIT A Pennsylvania Avenue Shops and Pennsylvania Avenue Garage Operating Budget Pennsylvania Parking Garage FY 2017 FY 2018 FY 2019 FY 2020 FY 2020 Prop to Revenues: Actual Actuals Adopted Proposed FY 2019 Adop Transient 519,359 494,304 632,000 541,000 (91,000) Monthly 393,390 330,070 314,000 288,000 (26,000) Miscellaneous ' 224 347 0 0 0 Interest Income 9,501 23,037 18,000 23,000 5,000 Transfer In from RDA(Anchor Garage) 87,000 110,000 18,000 68,000 50,000 Retained Earnings 0 0 0 0 0 TOTAL REVENUES $ 1,009,475 $ 957,758 $ 982,000 $ 920,000 $ (62,000) Operating Expenses: Operating Expenditures 1,021,729 1,014,753 968,000 861,000 (107,000) Internal Services 26,890 98,000 9,000 59,000 50,000 Capital0 0 5,000 0 (5,000) TOTAL EXPENDITURES $ 1,048,618 $ 1,112,753 $ 982,000 $ 920,000 $ (62,000) Revenues Less Expenditures $ (39,144) $ (154,995) $ 0 $ 0 $ 0 Pennsylvania Shops FY 2017 FY 2018 FY 2019 FY 2020 FY 2020 Prop to Revenues: Actual Actuals Adopted Proposed FY 2019 Adop Retail Leasing 0 1 0 0 0 Capital&Maintenance 0 0 0 24,000 24,000 Interest Earned 462 1,472 1,000 1,000 0 Transfers In from RDA(Anchor Shops) 313,000 490,000 460,000 297,000 (163,000) TOTAL REVENUES $ 313,462 $ 491,473 $ 461,000 $ 322,000 $ (139,000) Operating Expenses: Operating Expenditures 330,213 353,438 461,000 322,000 (139,000) TOTAL EXPENDITURES $ 330,213 $ 353,438 $ 461,000 $ 322,000 $ (139,000) Revenues Less Expenditures $ (16,751) $ 138,035 $ 0 $ 0 $ 0 COMBINED REVENUES-EXPENDITURES $ (55,895) $ (16,960) $ 0 $ 0 $ 0 • • Page 517 of 540