Loading...
2004-25689 Reso RESOLUTION NO. 2004-25689 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 2004/05. WHEREAS, on September 9, 2004, the Mayor and City Commission tentatively adopted the operating and debt service budgets for FY 2004/05; 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 2004/05 as summarized and listed below. REVENUES GENERAL RDA ENTERPRISE INTERNAL TOTALS SERVICE GENERAL OPERATING REVENUES Ad Valorem Taxes $ 79,380,929 $ 79,380,929 Ad Valorem Taxes-Normandy Shores 92,301 92,301 Other Taxes 19,568,600 19,568,600 Licenses and Permits 11,446,631 11,446,631 Intergovernmental 11,117,000 11,117,000 Charges for Services 6,141,136 6,141,136 Fines and Forfeits 1,404,000 1,404,000 Interest 2,836.880 2,836,880 Rents and Leases 2,679,145 2,679,145 Miscellaneous 6,409,227 6,409,227 Other-Resort Tax contribution 18,928,608 18,928,608 Other-Non Operating revenues 8,165,421 8,165,421 Subtotal $ 168,169,878 $ 168,169,878 G.O. DEBT SERVICE Ad Valorem Taxes $ 10,134,942 $ 10,134,942 Subtotal $ 10,134,942 $ 10,134,942 FUND TOTAL $ 178,304,820 $ 178,304,820 RDA FUNDS Ad Valorem Taxes-RDA SO.Pointe $ 11,766,831 $ 11,766,831 Ad Valorem Taxes-RDA City Center 9,456,446 9,456,446 FUND TOTAL $ 21,223,277 $ 21,223,277 REVENUES continued GENERAL RDA ENTERPRISE INTERNAL TOTALS DEPARTMENT/FUNCTION SERVICE ENTERPRISE FUNDS Convention CenterrrOPA $ 14,572,374 $ 14,572,374 Parking 21,566,690 21,566,690 Sanitation 7,691,739 7,691,739 Sewer Operations 26,847,000 26,847,000 Stormwater Operations 8,050,000 8,050,000 Water Operations 20,098,000 20,098,000 FUND TOTAL $ 98,825,803 $ 98,825,803 INTERNAL SERVICE FUNDS Central Services $ 753,316 $ 753,316 Fleet Management 5,672,138 5,672,138 Information Technology 11,091,771 11,091,771 Property Management 7,321,436 7,321,436 Risk Management 15,622,922 15,622,922 FUND TOTAL $ 40,461,583 $ 40,461,583 TOTAL - ALL FUNDS $ 178,304,820 $ 21,223,277 $ 98,825.803 $ 40,461,583 $ 338,815,483 APPROPRIATIONS GENERAL RDA ENTERPRISE INTERNAL TOTALS DEPARTMENT/FUNCTION SERVICE MAYOR & COMMISSION $ 1,260,879 $ 1,260,879 ADMINISTRATIVE SUPPORT SERVICES CITY MANAGER 1,888,209 1,888,209 Communications 272,588 272,588 BUDGET & PERFORMANCE IMPROVE 1,549,053 1,549,053 FINANCE 3,460,126 3,460,126 Procurement 706,999 706,999 Information Technology 11,091,771 11,091,771 HUMAN RESOURCES 1,393,979 1,393,979 Risk Management 15,622,922 15,622,922 LABOR RELATIONS 193,332 193,332 CITY CLERK 1,527,654 1,527,654 Central Services 753,316 753,316 CITY ATTORNEY 3,198,595 3,198,595 ECONOMIC DEV. & CULTURAL ARTS Economic Development ECONOMIC DEVELOPMENT 854,064 854,064 BUILDING 5,482,359 5,482,359 PLANNING 2,615,594 2,615,594 Cultural Arts TOURISM & CULTURAL DEVELOP. 1,138,403 1 ,138,403 BASS MUSEUM 1,259,432 1,259,432 CONVENTION CENTERlTOPA 14,572,374 14,572,374 OPERATIONS NEIGHBORHOOD SERVICES 3,730,078 3,730,078 PARKS & RECREATION 21,515,815 21,515,815 PUBLIC WORKS 6,073,888 6,073,888 Property Management 7,321,436 7,321,436 APPROPRIATIONS-continued GENERAL RDA ENTERPRISE INTERNAL TOTALS DEPARTMENT/FUNCTION SERVICE Sanitation 7,691,739 7,691,739 Sewer Operations 26,847,000 26,847,000 Stormwater Operations 8,050,000 8,050,000 Water Operations 20,098,000 20,098,000 CAPITAL IMPROVEMENT PROGRAM 2,767,082 2,767,082 PARKING 21,566,690 21,566,690 FLEET MANAGEMENT 5,672,138 5,672,138 PUBLIC SAFETY POLICE 61,372,608 61,372,608 FIRE 36,350,494 36,350,494 CITYWIDE ACCOUNTS CITYWIDE ACCOUNTS-Normandy Sh. 136,663 136,663 CITYWIDE ACCOUNTS-Operating Cont. 1,000,000 1,000,000 CITYWIDE ACCOUNTS-Other 7,074,914 7,074,914 CAPITAL RENEWAL 1,347,070 1,347,070 & REPLACEMENT Subtotal $ 168,169,878 $ 0 $ 98,825.803 $ 40,461,583 $ 307,457,284 G.O.DEBT SERVICE Debt Service 10,134,942 10,134,942 Subtotal $ 10,134,942 $ 10,134,942 RDA FUNDS RDA So. Pointe $ 11,766,831 $ 11,766,831 RDA City Center 9,456,446 9,456,446 $ 21 ,223,277 $ 21,223,277 TOTAL - ALL FUNDS $ 178,304,820 $ 21,223,277 $ 98,825,803 $ 40,461,583 $ 338,815,483 PASSED and ADOPTED this 28th day of ]1:~ PtU~ CITY CLERK APPROVED /AS TO FORM & lANGUAGE & FOR EXECUTION 'j_J7-0Y Date CITY OF MIAMI BEACH NOTICE OF PROPOSED TAX INCREASE The City of Miami Beach has tentatively adopted a measure to increase its property tax levy. Last year's property tax levy: A. Initially propos-ed tax levy..................................$88.360,010 B. Less tax reductions due to Value Adjustment. Board and other assessment changes..........;....$1 ,820,958 C. Actual property tax levy.....................................$86,539,052 This year's proposed tax levy.........................................;....$104,348,717 All concerned citizens are invited to attend a public hearing on the tax increase to be held on Tuesday. September 28,2004, 5:01 P.M. at 1700 Convention Center Drive City Hall Commission Chambers, 3rd Floor Miami Beach, Florida 33139 A FINAL DECISION on the proposed tax jncrease and the budget will be made at this hearing. . BUDGET SUMMARY CITY OF MIAMI BEACH - FISCAL YEAR 2004-05 THE PROPOSED OPERATING BUDGET EXPENDITURES OF THE CITY OF MIAMI BEACH ARE 7.9% MORE THAN lAST YEAR'S TOTAL OPERATING EXPENDITURES. INTERNAL GENERAL RDA ENTERPRISE SERVICE flllil1 EUIlI1li EUIlI1li EUIlI1li IQI8l. CASH BALANCE BROUGHT FORWARD $0 $0 $4.318.000 $4,983.300 $9,301 ,300 ESTIMATED REVENUES. ,...~ Taxes: Millage Per $1 ,000 Ad Val...m 7.425 (OporaUng) $79,380,929 $21,223,277 $0 $0 $100,llO4,208 Ad Valoram 1.123 (Norm. Sham) 92.301 92,301 Ad Valoram 0.748 (Volad Oabt) 10,134.942 10,134,942 Franchise 7.110,000 7,110.000 utility 12.458.800 12,45&,600 Convention Development 1.440.000 3,060.000 4,500.000 Licenses and Perml1s 11.446,631 11,446,631 Intergovernmental Revenues 9.677.000 9,677,000 Charges for Services 6.141.136 69.423.281 34.868.085 130,432,502 Rnes and Forleltures 1.404.000 1,404,000 Interest 2.836,680 488.050 305,196 3.&30,126 Rente and Leases 2.679.145 2,&79,145 Miscellaneous Revenues 6,409.227 1.536.472 305.000 B,25O,699 Other Financing SOurces 2UilllZa lliIII!Jl2I TOTAL REVENUES ANO OTHER FINANCING SOURCES $178304 820 $21 223277 $94 507 803 $35478283 $329.514.183 TOTAL ESTIMATED REVENUES AND BALANCES 5176.304.820 121 223.277 S9B 825 803 S4Il 481.583 533&.BI5.483 EXPENDITURElEXPENSES General Government $27.567,003 $0 SO 838.921.011 $&6,48&,m 4 Public Safety 105,893.007 105,893,007 Physical Environment 4.441.587 51,798.163 56,239.-750 Transportation 3.202.615 19,380.584 22,5&3,199 Economic Environment 854,064 21,223,277 22,077,341 Human Services 859.787 859,767 Culture & Recreation 23,515,152 14.572,374 38,0117,526 Normandy Shores District 136,663 136,&83 Debt Sarvices 10.834,942 12.318,611 1,540.572 24,694,125 Other Financing Uses 0 ___D TOTAL EXPENDITURESlEXPENSES $177,304,820 121,223;07 $98,069,732 S4Il,481 ,583 $337,059,412 Reserves 1 000 000 -.J 756 071 -.J Lm.Qll TOTAL APPROPRIATED EXPENDITURES AND RESERVES 5178 304.820 121.223.277 S9B 825.803 S4Ilo161583 1.1.18.815.483 THE TENTATJVE, ADOPTED. ANDIOR FINAL BlJDGETS ARE ON FILE IN THE OFFICE OF-THE ABOVE MENnONE~ TAXING AUTHORITY AS A PUBLIC RECORD 19 " o o N ..; N 0: UJ lJl L UJ t- o. u; en >' " Cl en 0: OJ J: t- Cl .J " 0:. UJ J: UJ J: t- E 0. u -0 '" ~ .c ~ ~ ~ CITY OF MIAMI BEACH COMMISSION ITEM SUMMARY m Condensed Title: A Resolution 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 2004/05. 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 2004/05? 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 2004/05. jVlsO'Y Bo..d Recommendation, Financial Information: Source of Amount Account Approved Funds: 1 $168,169,878 General Fund Operating ~ 2 10,134,942 G.O. Debt Service 3 21,223,277 RDA Funds-Ad Valorem Taxes 4 98,825,803 Enterprise Funds 5 40,461,583 Internal Service Funds Finance Dept. Total $338,815,483 City Clerk's Office Legislative Tracking: I Si n-Offs: Department Director Assistant City Manager City Manager AGENDA ITEM DATE [<7 A J... 1-;).~-OY CITY OF MIAMI BEACH CITY HALL 1700 CONVENTION CENTER DRIVE MIAMI BEACH, FLORIDA 33139 htlp:\\ ci.miami-beach.fl.us COMMISSION MEMORANDUM FROM: Mayor David Dermer and Members of the City Commission Jorge M. Gonzalez \ ..... ~ City Manager 0 res DATE: September 28, 2004 TO: SUBJECT: A RESOLUTION OF THE MAYOR AND CITY COMMISSION OF THE CITY OF MIAMI BEACH, FLORIDA, ADOPTING FINAL OPERATING BUDGETS FOR THE GENERAL, G.O. DEBT SERVICE, RDA AD VALOREM TAXES, ENTERPRISE, AND INTERNAL SERVICE FUNDS FOR FISCAL YEAR 2004/05. 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) 2004/05. PROCEDURE As outlined in the companion Agenda Item R7A1, Section 200.065, 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 9, 2004. However, during the public hearing, there was considerable discussion regarding the Administration's proposal to fill two Fire Inspector positions with State- Certified Fire Inspectors rather than Firefighter I's at a savings of $1 06,307. The Mayor and City Commission directed that this proposed reduction be reinstated and the positions be filled with Firefighter I's. In further discussion, the Mayor and City Commission directed the Administration to reinstate a part-time Office Associate V position for proclamations in the amount of $30,573. FY 2004/05 Final Operating Budgets September 28, 2004 Page two Based on recent increases in interest rates since the original calculations were made, the Administration recommends that the total adjustment for these two items amounting to $136,880 be funded by an increase to projected interest eamings. Therefore, total General Fund operating budget is increasing by $136,880 from the $168,032,998 presented at the September 9th meeting to $168,169,878. Additionally, a representative from the Miami Beach Chamber of Commerce Visitor Center requested an additional $15,000 for increased costs associated with maintaining a state of the art Visitor Center. The Commission directed the Administration to fund this request. The City Manager anticipates that as part of negotiations with the Greater Miami Convention and Visitors Bureau, additional funding of $15,000 can be directed for the Visitor Center. If this issue cannot be negotiated, then the budget will be amended to appropriate the $15,000 from the Resort Tax contingency. BACKGROUND On July 28, 2004, the Administration released a Proposed Budget balanced with 7.299 mills, 0.126 mills for Capital Replacement and Renewal, and 0.748 mills for debt service. Due to a reduction of 0.126 mills in the debt service millage, the overall millage will be maintained at the FY 2003/04 level of 8.173 mills. Maintaining the basic service level into FY 2004/05 will translate into an operating General Fund Budget of $163,867,534 which is $11,505,098 or7.6% greater than the FY 2003/04 adopted budget of $152,362,436. In addition, the budget adds $2,955,274 for enhanced service levels and $1,347,070 dedicated for Capital Replacement and Renewal. Therefore, the total General Fund operating budget is $168,169,878 which is $15,807,442 or 10.4% greater than the FY 2003/04 adopted budget of $152,362,436. The Proposed Budget recommends implementing over $2.1 million of newly identified savings adjustments within the organization. The Proposed Budget includes new or increased services in the net amount of $2.9 million. In the Office of Communications, funding has been provided for a quarterly newsletter to be mailed to all residents along with the Recreation Review and providing information on City events, performances and other items of interest to the citizens. In the Office of Budget & Performance Improvement (OBPI), funding is being provided for a Systems Analyst for performance improvement who will start by working with the Building Department to improve their productivity by maximizing the use of existing software applications. These will include the permitting system, handheld computers, interactive voice response system and the new queuing system for walk-through customers. Additional funding has been allocated to provide clerical support to the OBPI Director. FY 2004/05 Final Operating Budgets September 28, 2004 Page three In the City Clerk's Office, we have included funding to provide Spanish translation/subtitles for the taped City Commission meetings. Additional funding will provide internet access to all City documents currently scanned in Laser Fiche, opening public access to all City resolutions, ordinances, and contracts. A part-time position has been reinstated at a cost of $30,573, at the direction of the Mayor and City Commission. The Economic Development Department will be adding a Field Monitor for beach and market concessions, special events, and film permits. Costs will be fully offset by additional revenues generated. Funding has been allocated to the Planning Department for a consultant study and a Senior Planner to develop a Major Use Special Permit review process to supplement or replace the existing concurrency management system. There is the potential to generate additional revenues in the future. One additional Senior Planner will provide better neighborhood planning including implementation of the neighborhood conservation ordinance. In the area ofTourism & Cultural Development, operating subsidies will be provided to the Colony and Byron Carlyle Theaters that will be partially offset by revenues. The Bass Museum will receive City Center RDA revenues to pay the annual air conditioning maintenance agreement. The Neighborhood Services area will create three Code Enforcement Officer positions to provide expanded coverage and enhanced service levels throughout the City. Funding for one of these positions will come from Community Development Block Grants (CDBG). Funding is also provided for a contract for nuisance animal removal. Additional funding is being provided to better address the homeless situation throughout the City. The Parks & Recreation Department will receive funding for professional services and other support costs for additional landscaping related to completed CIP projects such as Washington Avenue, Orchard Park Streetscapes, the Regional Library, and La Gorce/Pine Tree and Marseille Drive. Funding from the City Center RDA will provide professional services and other support costs for additional I andscaping related to t he completed Beach Walk from 21 stthrough 14th Streets. This budget also provides funding for a 10-year extended warranty for new exterior sport lighting at North Shore Park and Tennis Center. Lastly, an Urban Forester position will be added to manage the City's urban forest, including inventory and replacement reserve requirements for all City-owned trees, plan review focusing on green space, and education of the general public concerning tree issues. In the Capital Improvement Projects Department, funding will provide professional services to perform construction document reviews and one Financial Analyst I position for processing invoices, charge backs, requisitions, and providing more timely payments and allowing project managers to dedicate additional time to projects. A Paralegal has been FY 2004/05 Final Operating Budgets September 28, 2004 Page four added to assist in responding to contractual and legal issues related to capital projects, provide for more timely completion of projects and allow project managers to dedicate additional time to projects. Additionally, two Field Inspectors will provide service to the three CIP districts as well as Parking projects. The Police Department will be funding a consultant study to examine required staffing levels, scheduling, policies and guidelines. There will be a total of six additional police officers on the streets. This will be accomplished through a series of reassignments; one police officer for the Terrorism Task Force will be funded by the LETF, an additional Lieutenant and two police officers will be funded by the RDA, and two police officers will be transferred from the School Resource Unit 0 f t he Criminal Investigation Division and replaced by two civilians. Additional contract security personnel funding has been provided for the North Shore Park & Youth Center, Flamingo Park & Pool and for half a year at Normandy Park and Pool. The department will manage all contracted security personnel for the City. The Fire Department has received funding to convert a Data Entry Clerk in the Fire Rescue Division from part time to full time to provide support for the medical director as well as the Assistant Fire Chiefs. The Ocean Rescue Division has received funding to convert two part time lifeguard positions to full time to fully staff the 41st Street lifeguard stand. Pursuant to direction received from the Mayor and Commission at the first public hearing, two fire inspector positions will continue to be filled with Firefighters rather than State-Certified Fire Inspectors. In the Sanitation area, funding will provide enhanced litter crews to the Mid-Beach 41st Street and North Beach 71 st Street commercial districts. Waterway clean-up efforts in North Beach will be continued. The RDA will provide funding for litter crews for completed CIP projects including the Beach Walk and the completed areas of Collins Park Cultural Center. Additional funding is provided for a part time auditor in OBPI who will enhance monitoring of franchise fees, roll-off fees, and right-of-way fees and generating an equal increase in revenues. The Proposed Budget has an additional 0.126 millage dedicated for Capital Renewal and Replacement. This concept is in response to concerns expressed by our citizens throughout the development and implementation of our Capital Improvement Program and the Administration's desire to maintain the City in a "world-class" manner. This additional millage will result in a restricted amount of approximately $1.347 million to be used exclusively to provide for renewal and replacement of capital items related to our facilities and infrastructure over and above the $27.4 million already included in the City's Proposed FY 2004/05 Budget for recurring maintenance. This additional millage would be reviewed and approved each year by the City Commission as part of the budget process, and would be used exclusively to address major capital renewal and replacement needs for General Fund departments for those capital expenditures that help to extend or replace the FY 2004/05 Final Operating Budgets September 28, 2004 Page five useful life of our facilities and infrastructure. The specific list of projects, as included in the Proposed Budget, has been submitted to the City Commission for final approval. Funding for these needs has never been provided in the Budget. CONCLUSION The Administration recommends adoption of the attached Resolution which incorporates the revisions discussed above and establishes final budgets for General Fund, G.O. Debt Service, RDA Funds-Ad Valorem Taxes, Enterprise, and Internal Service Funds for FY 2004/05. JMG:KGB:JC