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2004-25699 Reso RESOLUTION NO. 2004-25699 A RESOLUTION OF THE MAYOR AND CITY COMMISSION OF THE CITY OF MIAMI BEACH, FLORIDA, ADOPTING FISCAL YEAR 2004/05 BUDGETS FOR SPECIAL REVENUE FUNDS FOR RESORT TAX; RECREATION PROGRAMS; 7th STREET GARAGE OPERATIONS; LOG CABIN TRAINING CENTER OPERATIONS; AND THE STATE MAJOR CULTURAL INSTITUTION GRANT FOR THE BASS MUSEUM. WHEREAS, expenses related to tourism, monitoring and auditing payments, and receipt of Resort Taxes to the City will be paid by the Resort Tax Fund; and WHEREAS, the budget for the public parking garage located at 7th Street and Collins Avenue (the 7th Street Parking Garage) provides funding for operating expenses, debt service and a reserve for replacement; and WHEREAS, certain recreational programs and activities not funded in the City's General Operating Budget will be funded through various self-supporting user fee programs; and WHEREAS, support is received from the Florida Department of Children and Families and private contracts to fund the operations at the Log Cabin Training Center for developmentally disabled clients; and WHEREAS, a State Major Institution Grant received by the Bass Museum of Art from the State of Florida Division of Cultural Affairs will be used for general operation purposes of the Museum. NOW, THEREFORE, BE IT DULY RESOLVED BY THEMAYOR AND CITY COMMISSION OF THE CITY OF MIAMI BEACH, FLORIDA, that the Mayor and City Commission hereby adopts the Fiscal Year 2004/05 budgets for Special revenue funds as listed below: SPECIAL REVENUEI APPROPRIATIONS FUNDI DEPT # FY 2004/05 BUDGET RESORT TAX Resort Tax Fund 160.various $34,614,034 7th STREET GARAGE OPERATIONS 142,6976 $2,027,333 SPECIAL REVENUE/ FUND/ FY 2004/05 APPROPRIATIONS DEPT # BUDGET RECREATION PROGRAMS Playgrounds 610,6400 $350,000 Ice Skating Instructions 610.6430 150,000 Scott Rakow Youth Center Classes 610.6431 87,500 Gymnastics 610.6432 15,000 Scott Rakow Youth Center Operations 610.6433 26,500 Summer Camp - Youth 610.6434 96,000 Skate/Shoe Rental 610.6435 42,500 North Shore Park 610,6440 65,000 NS/Margaret M. Swett Social Club 610,6451 8,000 Flamingo Park 610.6453 50,000 Athletics 610.6454 125,000 South Pointe Park 610.6491 56,000 21st Street Community Center 610.6492 126,500 Special Events 610.6499 55,000 Total $1,253,000 LOG CABIN TRAINING CENTER OPERATIONS Adult Day Training Program 114.0982 $242,024 Transportation 114,0982 33,990 Supported Employment Program 114.0982 42,076 Supported Independent Living Program 114.0984 20,994 Total $339,084 STATE MAJOR CULTURAL INSTITUTION GRANT FOR THE BASS MUSEUM OF ART Operations 148,6153 $77,013 TOTAL ALL FUNDS $38,310,464 PASSED and ADOPTED this MAYOR APPROVED AS TO FORM & LANGUAGE & FOR EXECUTION ~r!~ CITY CLE K 1!4. ~ ~ "J~ J,/-O':l City mey~'f Date ATTACHMENT 'A' CITY OF MIAMI BEACH, FLORIDA RESORT TAX FUND BUDGET - FISCAL 2005 2% 1% Total Revenues: Resort Tax $24,409,000 $5,039,000 $29,448,000 Special Assessment-North Shore 263,000 263,000 Repayment of RDA loan 4,843,534 4,843,534 Interest Income 52,500 52,500 Registration Fees 7,000 7,000 Total Revenue 29,575,034 5,039,000 34,614,034 Exoenditures: Personnel Costs: Salaries & Wages 178,008 178,008 Health, Life & Dental Insurance 6,990 6,990 Pension Contribtuitions & Other Benefits 27,993 27,993 Total Personnel Costs 212,991 0 212,991 Ooeratina Costs: Professional Services 55,000 55,000 Intemal AudiUResort Tax Auditors' Expenditures 532,410 532,410 Telephone 50 50 Postage 500 500 Administrative Fees 26,450 26,450 Rent-Building & Equipment 3,235 3,235 Printing 100 100 Office Supplies 750 750 Other Operating Expenditures 1,000 1,000 Local Mileage 50 50 Training 2,000 2,000 Internal Service - Central Service 6,000 6,000 Internal Service - Property Maintenance 3,496 3,496 Internal Service - Communications 6,374 6,374 Internal Service - Self Insurance 16,189 16,189 Internal Service - Computers 15,520 15,520 Internal Service - Prop, Maintenance/Electrical 2,739 2,739 Total Operating Costs 671,863 0 671,863 Total Operating Expenditures 884,854 0 884,854 Other Uses: Contribution to VCA 1,171,632 1,171,632 Contribution to Bureau 5,000,000 5,000,000 Excise Tax Bonds 297,529 297,529 Other Designated Expenditures 2,519,500 2,519,500 Debt Service: North Shore 916,459 916,459 Gulf Breeze 707,685 707,685 TIF Bonds 2,519,500 2,519,500 Contingency 1,668,267 1,668,267 General Fund Contributions 18,928,608 18,928,608 Total Other Uses 28,690,180 5,039,000 33,729,180 Net 0 0 0 Exolanation of Other Desianated Exoenditures: South Beach Services North Beach Services Middle Beach Services Arts 629,875 629,875 629,875 629,875 629,875 629,875 629,875 629,875 0 2,519,500 2,519,500 CITY OF- MIAMI BEACH COMMISSION ITEM SUMMARY m Condensed Title: A Resolution adopting Fiscal Year 2004/05 budgets for Special Revenue funds for Resort Tax; 7TI1 Street Garage Operations; Recreation Programs; Log Cabin Training Center Operations; and the State Major Cultural Institution Grant for the Bass Museum, Issue: Should the Commission adopt Fiscal Year 2004/05 budgets for Special Revenue funds for Resort Tax, 7th Street Garage Operations; Recreation Programs; Log Cabin Training Center Operations; and the State Major Cultural Institution Grant for the Bass Museum? Item Summary/Recommendation: The administration recommends adopting the Fiscal Year 2004/05 budgets for Special revenue funds for Resort Tax; ih Street Garage Operations; Recreation Programs; Log Cabin Training Center Operations; and the State Major Cultural Institution Grant for the Bass Museum. Advisory Board Recommendation: I Financial Information: Source of Funds: Resort Tax 7 Street Garage Operations Recreation Programs Lo Cabin Trainin Ctr 0 e State Grant for Bass Museum Finance Dept. $38,310,464 City Clerk's Office Legislative Tracking: I AGENDA ITEM DATE Rl[ ~-2~.oV CITY OF MIAMI BEACH CITY HALL 1700 CONVENTION CENTER DRIVE MIAMI BEACH, FLORIDA 33139 www.ci.miami.beach.fl.us COMMISSION MEMORANDUM To: From: Mayor David Dermer and Members of the City Commission Jorge M, Gonzalez \&~ City Manager U'- U A RESOLUTION OF THE MAYOR AND CITY COMMISSION OF THE CITY OF MIAMI BEACH, FLORIDA, ADOPTING FISCAL YEAR 2004/05 BUDGETS FOR SPECIAL REVENUE FUNDS FOR RESORT TAX; 7TH STREET GARAGE OPERATIONS; RECREATION PROGRAMS; LOG CABIN TRAINING CENTER OPERATIONS; AND THE STATE MAJOR CULTURAL INSTITU- TION GRANT FOR THE BASS MUSEUM. Date: September 28, 2004 Subject: ADMINISTRATION RECOMMENDATION Adopt the Resolution. ANALYSIS The City currently offers certain programs and activities not supported through the general operating budget, but by outside agency grants, self-supporting user fee programs and private donations. Funding from these sources will be utilized as follows: Resort Tax - $34,614,034 This fund accounts for the collection ofthe special tax levied citywide on food, beverage and room rents used to support tourism related activities. This function, which operated under the direction of the Finance Department and the Office of Internal Audit, is responsible for ensuring that hotels, restaurants, bars and other establishments which serve food and beverages for consumption on its premises, comply with Article V of the City Code as it related to the reporting, and collection of resort taxes to the City. An allocation for "operations" provides for all collection and audit expenses associated with administering the Resort Tax function and are charged directly to this Special revenue Fund. Included in this allocation is funding for seven (7) positions and associated operating support totaling $884,854. FY 2004/05 - Special Revenue Budgets September 28, 2004 Page 2 The allocation to the General Fund for Fiscal Year 2004/05 of approximately $18.9 million pays for tourist related services and costs provided or managed by General Fund Departments. This funding supports approximately $17.5 million of public safety programs including our beach patrol, police services on Lincoln Road, Ocean Drive/Lummus Park, Collins Avenue, Washington Avenue, ATV officers, Boardwalk security, special traffic enforcement and special event staffing; and fire rescue units in tourist and visitor areas as well as special event support services. Approximately $900,000 is used to provide enhanced cleaning, landscape and other maintenance in the Lincoln Road, Ocean Drive/Lummus Park, Collins Avenue, Washington Avenue as well as for tourist and visitor areas in Middle and North Beach. This funding also supports code compliance services to respond t6 evening entertainment areas and for special events. An additional $500,000 provides for a portion ofthe operational costs ofthe Tourism and Cultural Development Department, and a contribution to the Cultural Arts Council beyond their annual interest allocation from the investment of City funds. The Fiscal Year 2004/05 budget also includes a $1.6 million contingency for other Resort Tax eligible expenses such as: special events, festivals, marketing, and protocol. This budget also reflects the revised allocation method for the Qualify of Life funding, which includes the arts, approved by the Finance and Citywide Projects Committee on February 18, 2004. Please see Attachment "A" for the revenue and expenditure detail budget. ih Street Garage - $2,027,333 The Parking Department is responsible for the collection of the revenues which will be used to pay operating expenses and debt service. The operating budget is required to cover operating expenses, debt service, and reserve for replacement. In the event of any shortfall in projected revenues, the difference shall be made up by funds from excess parking revenues. Operating Expenses Debt Service Reserve for Replacement Total $1,016,228 714,000 297,105 $2,027,333 FY 2004/05 - Special Revenue Budgets September 28, 2004 Page 3 Recreation Programs - $1,253,000 Recreational programs and activities funded through special revenues and self-supporting user fees are listed below: PROGRAM/ACTIVITY ACCOUNT AMOUNT Playgrounds Ice Skating Instructions Youth Center Classes Gymnastics Youth Center Operations Summer Camp - Youth Skate/Shoe Rental North Shore Park NS/Margaret M. Swett Social Club Flamingo Park Athletics South Pointe Park 21st Street Community Center Special Events 610.6400 610.6430 610.6431 610.6432 610.6433 610,6434 610,6435 610.6440 610.6451 610.6453 610.6454 610,6491 610.6492 610,6499 Total Log Cabin Training Center - $339,084 $350,000 150,000 87,500 15,000 26,500 96,000 42,500 65,000 8,000 50,000 125,000 56,000 126,500 55,000 $1,253,000 The Log Cabin Training Center provides vocational and life skills training to developmentally disabled adults with the ultimate goal of enabling these clients to lead independent, productive and integrated lives within our community. Funding for this program for salaries and fringes ($102,284) and operating ($236,800) is provided by the State's Medicaid Waiver program, fees and private clients. The following is breakdown of the funding sources: Florida Department of Children and Families (DCF) Adult Day Training Program (ADTP) - $242,024, Transportation - $33,990, Supported Employment Program (SE) - $42,076, and Supported Independent Living (SIL) - $20,994. In addition, the City's General Fund contributes $46,919 for operations. It is anticipated that by FY 2004/05 - Special Revenue Budgets September 28, 2004 Page 4 the end of FY 2004/05, the City will transition/outsource the Training Center through an RFP process to a private entity to continue providing a day-training program for developmentally disabled adults. PROGRAM/ACTIVITY ACCOUNT AMOUNT Adult Day Training Program Transportation Supported Employment Program Supported Independent Living Program Total 114.0982 114.0982 114.0982 114.0984 $242,024 33,990 42,076 20,994 $339,084 State Major Cultural Institution Grant for the Bass Museum of Art - $77,013 Second year of a three-year grant from the State of Florida Division of Cultural Affairs to provide security personnel for the facility and other operating support. CONCLUSION The attached Resolution adopting funding for FY 2004/05 budgets from these sources is vital to the continuation of these projects and activities provided by the City. JMG:KGB:JC