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2003-25346 Reso RESOLUTION NO. 2003-25346 A RESOLUTION OF THE MAYOR AND CITY COMMISSION OF THE CITY OF MIAMI BEACH, FLORIDA, ADOPTING FINAL OPERATING BUDGETS FOR THE GENERAL FUND, G.O. DEBT SERVICE, RDA FUNDS.AD VALOREM TAXES, ENTERPRISE, AND INTERNAL SERVICE FUNDS FOR FISCAL YEAR 2003/04. I WHEREAS, on September 4, 2003, the Mayor and City Commission tentatively adopted the operating and debt service budgets for FY 2003/04; and WHEREAS, Section 200.065 of the Florida Statute specifies the manner in which budgets are adopted. Following a second public hearing, the final millage rate for both general operating and debt service is adopted, and immediately thereafter, final budgets by fund are adopted. NOW, THEREFORE, BE IT DULY RESOLVED BY THE MAYOR AND THE CITY COMMISSION OF THE CITY OF MIAMI BEACH, FLORIDA, that the City of Miami Beach hereby adopts final budgets for the General Fund, G.O. Debt Service, RDA Funds-Ad Valorem Taxes, Enterprise, and Internal Service Funds for Fiscal Year 2003/04 as summarized and listed below. REVENUES GENERAL OPERATING REVENUES Ad Valorem Taxes Ad Valorem Taxes-Normandy Shores Other Taxes Licenses and Permits Intergovemmental Charges for Services Fines and Forfeits Interest Rents and Leases Miscellaneous Other-Resort Tax contribution Other-Non Operating revenues Subtotal G.O. DEBT SERVICE Ad Valorem Taxes Subtotal FUND TOTAL RDA FUNDS Ad Valorem Taxes-RDA SO.Pointe Ad Valorem Taxes-RDA City Center FUND TOTAL GENERAL INTERNAL SERVICE CATEGORY TOTALS RDA ENTERPRISE $ 68,168,976 81,758 19,443,050 11,003,905 11,464,000 5,925,965 1,758,677 2,800,000 2,477,385 6,080,374 16,318,450 6,839,896 $ 152,362,436 $ 68,168,976 81,758 19,443,050 11,003,905 11,464,000 5,925,965 1,758,677 2,800,000 2,477,385 6,080,374 16,318,450 6,839,896 $ 152,362,436 $ 10,200,337 $ 10,200,337 $ 10,200,337 $ 10,200,337 $ 162,562,773 $ 162,562,773 $ 8,653,826 $ 8,653,826 8,362,848 8,362,848 $ 17,016,674 $ 17,016,674 REVENUES-continued GENERAL RDA ENTERPRISE INTERNAL CATEGORY SERVICE TOTALS ENTERPRISE FUNDS Convention CenterrrOPA $ 14,160,053 $ 14,160,053 Parking 20,715,501 20,715,501 Sanitation 7,055,545 7,055,545 Sewer Operations 28,694,036 28,694,036 Stormwater Operations 7,905,000 7,905,000 Water Operations 19,155,070 19,155,070 FUND TOTAL $ 97,685,205 $ 97,685,205 INTERNAL SERVICE FUNDS Central Services $ 738,003 $ 738,003 Fleet Management 5,366,265 5,366,265 Information Technology 11,003,795 11,003,795 Properly Management 6,685,950 6,685,950 Risk Management 14,101,455 14,101,455 FUND TOTAL $ 37,895,468 $ 37,895,468 TOTAL - ALL FUNDS $ 162,562,773 $ 17,016,674 $ 97,685,205 $ 37,895,468 $ 315,160,120 APPROPRIATIONS GENERAL RDA ENTERPRISE INTERNAL CATEGORY DEPARTMENT/FUNCTION SERVICE TOTALS MAYOR & COMMISSION $ 1,164,053 $ 1,164,053 ADMINISTRATIVE SUPPORT SERVICES CITY MANAGER 1,837,838 1,837,838 Media Relations 234,928 234,928 CITY CLERK 1,364,398 1,364,398 Central Services $ 738,003 738,003 FINANCE 3,249,728 3,249,728 Information Technology 11,003,795 11,003,795 Management & Budget 666,514 666,514 HUMAN RESOURCES 1,502,603 1,502,603 Risk Management 14,101,455 14,101,455 Labor Relations 161,247 161,247 INTERNAL AUDIT 319,328 319,328 PROCUREMENT 676,106 676,106 Grants Management 176,225 176,225 CITY ATTORNEY 3,095,528 3,095,528 ECONOMIC DEV. & CULTURAL ARTS Economic Development ECONOMIC DEVELOPMENT 836,400 836,400 BUILDING 4,568,255 4,568,255 PLANNING 2,287,154 2,287,154 Cultural Arts TOURISM & CULTURAL DEVELOP, 674,329 674,329 BASS MUSEUM 1,140,450 1,140,450 Tourism & Conventions CONVENTION CENTERrrOPA $ 14,160,053 14,160,053 APPROPRIATIONS-contlnued GENERAL RDA ENTERPRISE INTERNAL CATEGORY DEPARTMENT/FUNCTION SERVICE TOTALS OPERATIONS NEIGHBORHOOD SERVICES 3,053,844 3,053,844 PARKING 20,715,501 20,715,501 PARKS & RECREATION 24,969,837 24,969,837 PUBLIC WORKS 5,510,893 5,510,893 Property Management 6,685,950 6,685,950 Sanitation 7,055,545 7,055,545 Sewer Operations 28,694,036 28,694,036 Stormwater Operations 7,905,000 7,905,000 Water Operations 19,155,070 19,155,070 CAPITAL IMPROVEMENT PROGRAM 2,276,274 2,276,274 FLEET MANAGEMENT 5,366,265 5,366,265 PUBLIC SAFETY FIRE 28,339,156 28,339,156 POLICE 56,504,946 56,504,946 CITYWIDE ACCOUNTS 6,710,034 6,710,034 CITYWIDE ACCOUNTS-Normandy Sh. 125,800 125,800 OPERATING CONTINGENCY 916,568 916,568 Subtotal $ 152,362,436 $ 0 $ 97,685,205 $ 37,895,468 $ 287,943,109 G.O.DEBT SERVICE Debt Service 10,200,337 10,200,337 Subtotal $ 10,200,337 $ 10,200,337 RDA FUNDS RDA So. Pointe $ 8,653,826 $ 8,653,826 RDA City Center 8,362,848 8,362,848 $ 17,016,674 $ 17,016,674 TOTAL - ALL FUNDS $ 162,562,773 $ 17,016,674 $ 97,685,205 $ 37,895,468 $ 315,160,120 PASSED and ADOPTED this 18th day of Se &J rtu~ CITY CLERK APPROVED AS TO FORM & lANGUAGE & FOR EXECUTION . fl)-'~-d3 Date CITY OF MIAMI BEACH COMMISSION ITEM SUMMARY ~ -- Condensed Title: A Resolution adopting the final operating budgets for the General Fund, G.O. Debt Service, RDA Funds-Ad Valorem Taxes, Enterprise, and Intemal Service Funds for Fiscal Year 2003/04, Issue: Shall the Mayor and City Commission approve the final operating budgets for the General Fund, G.O. Debt Service, RDA Funds-Ad Valorem Taxes, Enterprise, and Internal Service Funds for Fiscal Year 2003/04? Item Summary/Recommendation: The Administration recommends adopting the final operating budgets for the General Fund, G.O. Debt Service, RDA Funds-Ad Valorem Taxes, Enterprise, and Internal Service Funds for Fiscal Year 2003/04. Advisory Board Recommendation: I Financial Information: Source of Amount Account Approved Funds: 1 $152,362,436 General Fund Operating D 2 10,200,337 G.O. Debt Service 3 17,016,674 RDA Funds-Ad Valorem Taxes 4 97,685,205 Enterprise Funds 5 37,895,468 Intemal Service Funds Finance Dept. Total $ 315,160,120 City Clerk's Office Legislative Tracking: I Si n-Offs: Department Director City Manager AGENDA ITEM DATE R 74/1.. t}- /f .,tJ3 CITY OF MIAMI BEACH CITY HALL 1700 CONVENTION CENTER DRIVE MIAMI BEACH, FLORIDA 33139 www.ci.miami-beach.fl.us COMMISSION MEMORANDUM To: Mayor David Dermer and Members of the City Commission Date: September 18,2003 From: Jorge M. Gonzalez \ c....;( City Manager O,y--' U A RESOLUTION OF THE MAYOR AND CITY COMMISION OF THE CITY OF MIAMI BEACH, FLORIDA, ADOPTING FINAL OPERATING BUDGETS FOR THE GENERAL FUND, G.O. DEBT SERVICE, RDA FUNDS-AD VALOREM TAXES, ENTERPRISE, AND INTERNAL SERVICE FUNDS FOR FISCAL YEAR 2003/04. Subject: ADMINISTRATION RECOMMENDATION The Administration recommends that the City Commission adopt the attached Resolution which establishes final budgets for the General Fund, G.O. Debt Service, RDA Funds-Ad Valorem Taxes, Enterprise, and Internal Service Funds for Fiscal Year (FY) 2003/04. PROCEDURE As outlined in the companion Agenda Item R7 A 1, Section 200.265, Florida Statutes, specifies the manner in which budgets are adopted. Following a second public hearing, the final millage rate for both general operating and debt service is adopted, then immediately thereafter, final budgets by fund are adopted. The attached Resolution is therefore presented to you at this time for adoption. ANALYSIS The Mayor and City Commission adopted the tentative millage rate for general and debt service, and the tentative operating budgets, by fund at the first public hearing on September 4,2003. The City Manager announced that the Administration had revised the original proposal to eliminate two lifeguards stands in the North area and instead was eliminating one and shifting the other one to 42nd Street. However, during the public hearing, there was discussion regarding the Administration's proposal to remove the lifeguard stand and reduce the operating hours. The Mayor and City Commission asked that this stand and proposed reduction to funding of $349,029 be reinstated, and referred the matter to the Finance and Citywide Projects Committee for further review. FY 2003/04 Final Operating Budgets September 18, 2003 Page two The Administration has found savings of $300,000 due to delays in the projected openings of the North Shore Youth Center and the Normandy Pool. The remaining $49,029 needed to restore Beach Patrol funding will be achieved by a reduction in that amount in the proposed operating contingency for FY 2003/04. In further discussion, the Mayor and City Commission directed the Administration to reinstate an Office Associate V position for proclamations in the amount of $28,403, an additional $3,750 for the Miami Beach Chamber of Commerce, and an additional $1,000 for the Sister Cities Program. These directives totaling $33,153 are also to be funded by reducing the proposed operating contingency. As a result ofthese adjustments ($82,182), the proposed operating contingency has been reduced from $1,000,000 to $917,818. Additionally, the Administration was instructed to provide additional funds for homeless assistance; $150,000 is being provided in the Resort Tax Fund Budget. These adjustments are proposed pending final recommendations resulting from the Finance & Citywide Projects Committee (F&CWPC) meeting to be held on Monday, September 15th. Adjustments, if any, made by the F&CWPC, will be provided as supplemental information for the agenda of the second public hearing 0 n the F Y 2003/04 budgets on September 18. BACKGROUND On July 30, 2003, the Administration released a Proposed Budget totaling $152,362,436 for the General Fund balanced with 7.299 mills, exclusive of debt service. This millage maintained current basic service levels, funded operational costs for projects expected to be completed during FY 2004, and funded enhanced service levels. The process to balance this budget was an extremely challenging one. A significant effort was made to balance the needs of the community with those operational costs for decisions made in previous years. The Proposed Budget recommends implementing over $6.2 million of newly identified efficiencies within the organization generated through reallocation and reduction of current operating expense. Further, 68 positions have been eliminated, 15 of which were filled. Additionally, this budget incorporates approximately $1.6 million in increases to fees. some of which had not been increased in over 11 years. As part of the annual budget process, the Administration gave each department a "Core Budget" consisting of current year operating expenses at 95%. Department heads were instructed to look carefully for efficiencies and savings within the current and proposed operations of their Departments in order to meet the Core. Additionally, it was necessary to explore other areas where revenues could be increased and as a result, a number of fees that are paid to the City were reviewed. In doing so, the budget includes a series of increases which bring the fees charged for certain services closer to their actual costs as well as closer to the levels other municipalities in South Florida charge for those services. FY 2003/04 Final Operating Budgets September 18, 2003 Page three The proposed budget included new or increased services in the net amount of $1.2 million. In the Police Department, several officers will be reassigned to proactive uniform patrol positions throughout the City. One sergeant and four officers have been reassigned from the Criminal Investigations Division, Special Investigations Squad. This transfer will not eliminate the services currently provided, but will enhance specialized field operations. Two officers have also been reassigned from the School Resource Office to assume uniform patrol duties. Their duties as police liaisons to the schools will be assumed by two retired police officers who will be contracted to provide a continued presence in the schools. One sergeant from the Support Services Division will be reassigned to uniform patrol. In addition, fifteen new sworn officers will be funded by the two Redevelopment Areas within Miami Beach as part of our continued community policing initiatives. These efforts will result in a total of twenty three additional sworn uniform officers for the Patrol Division. The Parks and Recreation Department will undergo a reorganization that will enable the department to be much more responsive and accou ntable for quality recreation services. A key component of this reorganization is the creation of designated facility managers who will have the responsibility for the management and the offering of services in their respective facilities. The larger City facilities, including the new North Shore Park and Youth Center, the expanded Scott Rakow Youth Center and Flamingo Park will each have their own manager. Each of the facilities will also have additional resources to deliver the services desired and requested by our citizens, The North Shore Park and Youth Center, Normandy Isle Park and Pool and the expanded Scott Rakow Youth Center, will receive approximately $1.1 million in staff and resources to open and operate under our new structure and service levels. Programming at Fairway, Tatum and Normandy Shores Parks will be eliminated and those resources will be used for the newer expanded facilities. These parks will be used for athletic programs, open field play, and as satellite facilities when needed to accommodate program volume needs from the newer facilities in North Beach. These closings are a conscious effort by the department to effectively manage their resources and provide quality programming throughout the City. The City's Beach Patrol will be supplemented by a new Park Ranger program which will provide additional security and monitoring of our parks and beaches, improved customer service and enhances public safety. This program will deploy 11 full-time Park Rangers throughout our parks and beaches and two part-time Park Rangers to provide support and relief. These enhancements are being funded through our community policing program from the Redevelopment Agency and with reallocated security funds from Parks and Recreation. As a result of this program, it is recommended that the City close two lifeguard towers located on 8151 and 83m Streets and shift remaining area lifeguard towers located on 77th, 79th, and 85th Streets to provided coverage in the North Shore Open Space Park. It is also recommended that the Beach Patrol shifts be reduced from ten hours to eight hours during nine months of the year (resulting in a year-round schedule of 5 eight-hour days per week) and that temporary lifeguard positions be reduced. The Public Works Department will also undergo a reorganization that will streamline the department and the services it provides. As a result, several enhancements are proposed. FY 2003/04 Final Operating Budgets September 18, 2003 Page four The Sanitation Division has consolidated litter routes allowing savings to fund two crews that will be dedicated to the operation of the new MadVac XL 600's and replace hand- sweeping crews in residential areas. Mechanization of this function will increase the frequency in these residential areas and allow the Division to reassign hand-sweeping crews to areas currently being cleaned on an as needed basis. This service enhancement continues to make the Division more proactive to litter control around the City. Additional savings will be used to fund the South Beach Service Team Superintendent position; who will act as a link between the business owners and the City of Miami Beach Departments. This enhancement is a vital part of the City's vision to consolidate the customer service core, to restructure the organization to include a middle management layer and ensure the success 0 f the Sanitation, South Beach Service Team. Additional enhancements in this department include the creation of an additional streetlight maintenance crew to maintain the newly constructed capital projects and provide adequate maintenance and repair of citywide lighting; the establishment of a waterway maintenance drainage system cleaning capability through the use of additional contractual services; continuing the development of an Infrastructure Management System which will integrate all the maintenance efforts within the various divisions of Public Works Department into a centralized maintenance management system; and continuing the development of a City Geographic Information System (GIS) which would provide a detailed layered presentation of all maintenance, construction and infrastructure. In the Building Department, one Senior Building Inspector has been added to enhance our Building Code Compliance program on a proactive basis. In the Planning Department, one additional Planner and an Office Associate III have been funded to staff the concurrency function that is being transferred from the Public Works Department. An enhancement in the City Clerk's Office will provide full funding of the Secondary Audio Program (SAP) in Spanish which will provide better communication with our Spanish-speaking residents through the live translation of City Commission meetings and various other City meetings on the City's government-access cable channel 20. Additionally, a Code Compliance Officer is being added to provide expanded community interaction in the areas of occupational license, certificate of use and resort tax. CONCLUSION The Administration recommends adoption of the attached Resolution which incorporates the revisions discussed above and establishes the final budgets for General Fund, G.O. Debt Service, RDA Funds-Ad Valorem Taxes, Enterprise, and Internal Service Funds for Fiscal Year 2003/04. JMG:PDW:JC