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HomeMy WebLinkAbout1986 05 05 City Commission Workshop Minutes . WORKSHOP MEETING CITY COMMISSION CITY OF WINTER SPRINGS MAY 5, 1986 The Workshop Meeting was called to order by Mayor John V. Torcaso. Roll Call: Mayor John V. Torcaso, present Deputy Mayor William A. Jacobs, present City Manager Richard Rozansky, present City Attorney, Frank Kruppenbacher, present 1985-86 Fiscal Year Budget - Revision: City Manager Richard Rozansky explained Description of Revenues: Franchise - Gas From Seminole Utilities Cable TV Alcoholic Beverage Miscellaneous Revenues Recreation Hall Rental Transfer from P.S.T.F. Transfer from Elec. Franchise Fund Balance 84/85 City Commissioners: Cindy Kaehler, present Arthur Hoffmann, present Philip A. Kulbes, present Martin Trencher, present the changes to the Budget as follows: $24,000.00 18,000.00 28,654.00 1,500.00 3,500.00 o 280,779.00 875,000.00 to $21,629.00 to 20,621. 00 to 31,522.00 to 3,000.00 to 9,000.00 500.00 (Added) to 82,931. 00 to 339,162.00 to 890,010.00 . Total General Fund Balance 3,071,791.00 to 3,238,733.00 Public Service Tax Fund Electric Utility Taxes 192,666.00 to 263,330.00 Telephone Utility Taxes 34,000.00 to 44,767.00 Gas Utility Taxes 4,500.00 to 6,000.00 Interest Earned 5,000.00 10,000.00 Interest Tran.to Sinking Fund (5,000.00) DR (10,000.00) Trans.to General Fund 0 (82,931. 00) Excise Tax Fund Florida Power Franchise Fee 416,000.00 to 474,383.00 Trans. to E1ec.Franchise Fund(416,000.00)DR (474,383.00) Electric Franchise Fee Fund Trans. from Excise Fund 416,000.00 to 474,383.00 Trans. to General Fund (280,779.00)DR (339,162.00) Capital Improvements Fund 1984 Moss Road Assessment 61,173.00 Interest Earned 4,500.00 to 6,000.00 Fund Balance 84/85 134,107.00 to 173,517.00 Total Capital Impv. Fund 184,200.00 to 286,283.00 . Federal Revenue Sharing Funds Fund Balance 84/85 15,000.00 to 17,617.00 Total Federal Revenue Sharing Fund 62,615.00 to 65,232.00 . . . Workshop Meeting, City Commission, May 5, 1986 Police Education Fund Fund Balance 84/85 Total Police Education Fund Special Law Enforcement Fund Revenues Fund Balance 84/85 Interest Total Special Law Enf.Fund 1979 Revenue Bond Issue P.S.T.F.Interest Trans. Fund Balance 84/85 Total Sinking Fund Sinking fund Reserve -- Fund Balance 84/85 Total Sinking Fund Reserve 1984 Revenue Bond Issue Transfer from Construction Fund Fund Balance 84/85 Total Sinking Fund Sinking Fund Reserve Fund Balance 84/85 Total Sinking Fund Reserve 1984 Construction Fund 1984/85 Fund Balance Transportation Improvement Fund Interest FY 84/85 Fund Balance Total Transportation Impv.Fund Land Acquisition Recreation Interest Total Land Acquisition Sidewalk Grant State Contribution City Contribution Total Sidewalk Grant 7,925.00 11,100.00 8,000.00 12,765.00 300.00 21,065.00 5,000.00 49,034.00 115,494.00 52,353.00 52,353.00 28,195.00 406,732.00 380,500.00 380,500.00 311,813.00 3,500.00 113,000.00 276,500.00 8,488.00 100.00 2,500.00 1,250.00 Total Revised Budgeted Revenue FY 1985/1986 Police Dept.-Expenditures: 40.1 Travel and Per Diem 44.1 Equipment Rental 400.00 400.00 to 4,103.00 to 7,278.00 to 720.00 to 23,211. 00 to 1,000.00 to 24,931.00 to 10,000.00 to 43,746.00 to 115,206.00 to 52,358.00 to 52,358.00 64,306.00 to 179,582.00 to 622,425.00 to 388,411.00 to 388,411.00 to 217,127.00 to 6,000.00 to 132,469.00 to 298,469.00 8,588.00 3,750.00 $5,375,862.00 to to 392.00 408.00 Page 2 (Added) . Workshop Meeting, City Commission, May 5, 1986 Police Education Fund 54.3 Employee Development Special Law Enforcement Fund 64.4 Special Law Enf.Fund Total Police Department Budget Fire 41.1 44.1 46.6 72.2 Department: Telephone Equipment Rental Repair & Maint - Building Revenue Note Interest Federal Revenue Sharing fund 64.0 Vehicle Total Fire Department Budget Fire Dept. Paramedic 12.1 Salaries 21.1 FICA Taxes . Total General Fund Total Paramedic Program Budget Public Works Department: 12.1 Salaries 21.1 FICA Taxes 31.4 Physical Exams 52.6 Janitorial Supplies 52.10 Road signs 54.2 Operational Books 64.1 Equipment Total General Fund Total Public Works Budget City Manager's Budget - no change. Engineering/Planning: 12.1 Salaries 41.1 Telephone Expense 42.1 Postage Expense 51.1 Office Supplies 54.1 Dues and Subscriptions 64.1 Equipment Total General Fund Total Engineering/Planning Budget . Building Office - no change. from 11,100.00 21,065.00 843,109.00 2,132.00 4,500.00 8, 77 5. 00 13,115.00 616,088.00 136,531.00 9,626.00 165,067.00 165,067.00 257,002.00 18,119.00 375.00 4,500.00 9,000.00 175.00 505,498.00 505,498.00 55,919.00 500.00 120.00 250.00 200.00 450.00 73,428.00 73,428.00 Page 3 to 7,278.00 to 24,931. 00 to 843,153.00 to 5,032.00 190.00 Added 4,310.00 5,832.00 to to to 13,763.00 to 616,736.00 to 156,531. 00 to 11,192.00 to 186,633.00 to 186,633.00 to 260,000.00 to 18,590.00 to 450.00 to 4,425.00 to 8,000.00 to 375.00 7,000.00 to 515,967.00 to 515,967.00 to 55,419.00 to 1,000.00 to 350.00 to 750.00 to 350.00 to 350.00 to 74,208.00 to 74,208.00 . . . Workshop Meeting, City Commission, May 5, 1986 Finance Department - no change. Personnel and Administration: 12.1 Salaries 21.1 FICA Taxes 45.1 City Insurance 46.6 City Hall Maintenance 52.6 Janitorial Services Total General Fund City Clerk's Office: 43.1 Utilities Expense 54.1 Dues and Subscriptions Recreation Department: 12.1 Salaries 21.1 FICA Taxes 23.1 Health Insurance 40.1 Travel and Per Diem 48.0 Promotional Total General Fund Federal Revenue Sharing Fund 64.1 Equipment Total Recreation Department Budget City Commission 48.0 Promotional Activities Total General Fund Total City Commission Budget Legal Counsel 31.11 Other Legal Services Total General Fund Total Legal Counsel Budget General Government: 13.4 Election Officials 47.1 Election Printing 69.1 Contingency Total General Fund Capital Improvements Fund: 69.3 Reserve Total Capital Improvements Fund 1979 Revenue Bond Issue Sinking Fund 69.3 Debt Service Reserve Total Sinking Fund from 50,770.00 3,579.00 78,000.00 350.00 15,000.00 167,471.00 3,131. 00 5,000.00 15,441. 00 1,089.00 841. 00 400.00 37,802.00 52,802.00 4,000.00 45,500.00 45,500.00 27,000.00 41,700.00 41,700.00 700.00 1,400.00 69,103.00 373,130.00 37,200.00 184,200.00 65,534.00 115,494.00 to to to to to to to 60,000.00 to 4,290.00 to 110,000.00 to 3,500.00 to 14,350.00 to 211,912.00 to to 2,131.00 6,000.00 to to to to 22,000.00 1,573.00 1,241. 00 800.00 2,500.00 48,145.00 to 1,969.00 to 65,114.00 8,000.00 49,500.00 49,500.00 60,000.00 74,700.00 74,700.00 to 1,050.00 to 1,050.00 to 111,446.00 to 415,473.00 to 139,283.00 to 286,283.00 to 65,246.00 to 115,206.00 Page 4 . . . Workshop Meeting, City Commission, May 5, 1986 Sinking Fund Reserve 69.3 Reserve 1984 Revenue Bond Issue Sinking Fund 69.3 Debt Service Reserve Total Sinking Fund Sinking Fund Reserve Fund Balance FY 84/85 Construction Fund Fund Balance 84/85 Transportation Improvement Fund 69.3 Reserves Total Trans.Improvement Fund Land Acquisition Recreation Dept. Sidewalk Grant Capital Improvements 52,353.00 68,555.00 406,732.00 380,500.00 311,813.00 129,080.00 276,500.00 Total Revised Budgeted Expenditures FY 1985/86 Changes to the Winter Interest Income Meter Charges Inspection Fees Application Fees Tampering Fees Springs Water & Sewer Revenues: 50,000.00 3,000.00 Total Revised Revenues Expenditure Changes: 31.4 Physical Exams 31.6 Engineering Services 32.1 Accounting Services 42.1 Postage Expense 44.1 Equipment Rental 46.6 Repair & Maint - Buildings 46.10 Repair & Maitn - Sewer Lines 49.4 Miscellaneous 52.1 Fuel and Oil 52.3 Operating Supplies 52.6 Janitorial Supplies 52.7 Small Tool & Equipment 64.1 Equipment 69.1 Contingency 71.0 Debt Service-Principal/Interest Total Expenses 300.00 25,000.00 8,000.00 1,200.00 5,000.00 25,000.00 4,000.00 7,500.00 15,000.00 100.00 58,011.00 534,000.00 1,487,425.00 Page 5 to 52,358.00 to 284,248.00 to 622,425.00 to 388,411.00 to 217,127.00 to 151,049.00 to 298,469.00 8,588.00 3,750.00 5,375,862.00 to to 100,000.00 16,000.00 3,000.00 6,500.00 500.00 1,560,425.00 to 1,000.00 to 85,000.00 7,500.00 to 10,000.00 to 6,000.00 to 11,000.00 to 25,500.00 to 400.00 to 8,500.00 to 35,000.00 to 300.00 2,500.00 Added to 54,899.00 29,512.00 Added to 479,000.00 1,560,425.00 . . . Workshop Meeting, City Commission, May 5, 1986 Page 6 There was discussion of the purchase of a bus, whether to purchase or rent,etc. Commission asked what the cost of insurance would be, gas, what the cost of a handicap ramp would be, and to come back with all the figures at next week's meeting. Discussion of proposed P.U.D. Ordinance: Page 1, paragraph 2, next to compatible add "and harmonious with and complimentary to"; Page 2, Section 44.85.3 paragraph 1, delete"garden apartments and cooperative apartments" - leave "apartments". Paragraph 2, 4th line down after services add the words "and full" and after the word service add "(with mechanics). Page 3, page 3 should read "complimentary to, compatible and harmonious with"; There was discussion of the definition of condominium; there is a definition in the Florida Statutes. (Page 20, have Attorney review it). Page 5, paragraph b, the last sentence the word proper was questioned, possibly could be changed to the word adequate. Page 6, possibly change the word detrimental on the first line to "compatible with and harmonious with and complimentary to". Page 8, paragraph 9, first sentence change city planner to land development coordinator; add city planner after police chief; and change the word designated to "deemed necessary". Page 9, paragraph 13, change "just" to must. 5th line down starting with "it shall be the duty" change the word recommendations to read "comments relative to code compliance" Page 9, paragraph 11, change the word "recommendations" to comments relative to code compliance. Page 12, paragraph 14 a., add the word "homeowners" before association. Page 14, last line, proposed "irrigation" paragraph 10; also in paragraph 10 after Winter Springs Arbor Ordinance, add Article 1.5 Tree Preservation in the Chapter 14, Land Development Code. Page 15, paragraph a.9. add Article 1.5, Tree Preservation in Chapter 14, Land Development Code. Page 18, spell out DCCR, first paragraph, last sentence. Commissioner Trencher asked to have the City Attorney research to see if we can negotiate or discuss with existing Planned unit developments to see if we can get compliance voluntarily with some or part or all of this ordinance. Otherwise, this ordinance will only apply if someone wants to come in with another PUD, or possibly may preclude someone from coming in. . . . <' " Workshop Meeting, City Commission, May 5, 1986 Page 7 Page 19, paragraph 4, asked the City Attorney review this paragraph. (To be reworded and clarified). Page 19, Section 44.85.13 Appeal, there was discussion, and should be reviewed. On Page 20, first paragraph, delete the words "in conjunction with the planning and zoning board". Jay Alpert, talked about three items in the ordinance which would keep a developer from processing a pun in the City. 1. change of density based on net residential acreage rather than gross residential acreage. 2. recreational property items-needs to be 20 acres of contiguous reacreational property for every 500 units; 3. time limits on developments. The ordinance will be turned over to the Attorney for a recommendation. Meeting adjourned 10:15 p. m. Respectfully submitted, Mary T. Norton, City Clerk