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HomeMy WebLinkAbout2009 09 28 Other Relates To Public Hearing Agenda Item 501 Date: September 28, 2009 The attached document relates to Public Hearings Agenda Item "501" for the September 28, 2009 City Commission Regular Meeting. Public Hearing 501- September 28, 2009 Fiscal Year 2009 -2010 Final Budget The ad below represents a corrected Budget Summary Ad (Tentative Budget- 9.14.09). The General Fund Public Safety expenditure budget in the light grey highlight ($6,574,241) was erroneously presented in the dark grey cell (Physical Environment). There are no TRIM compliance issues associated with this misprint. • BUDGET SUMMARY CITY OF WINTER SPRINGS - FISCAL YEAR 2009 - 2010 Millage Per $1000 SPECIAL DEBT CAPITAL General Fund 2.4714 GENERAL REVENUE SERVICE PROJECT ENTERPRISE TOTAL Voted Debt 0.1100 FUND FUNDS FUNDS FUNDS FUNDS BUDGET BUDGETED REVENUES: Taxes: Millage Per $1000 Ad Valorem Taxes 2.4714 4,313,427 4,313,427 Ad Valorem Taxes (Voted Debt) 0.1100 191,987 191,987 Utility Taxes & Franchise Fees 35,000 6,125,000 6,160,000 Licenses & Permits 148,500 15,000 451,000 614,500 Intergovernmental Revenues 2,929,450 4,400,947 7,330,397 Charges for Services 433,720 2,375,000 8,698,100 11,506,820 Fines & Forfeitures 498,518 16,500 515,018 Miscellaneous Revenues 190,602 664,128 270,021 14,300 109,690 1,248,741 Other Financing Sources 317,500 317,500 TOTAL BUDGETED REVENUES 8,549,217 13,596,575 779,508 14,300 9,258,790 32,198,390 Interfund Transfers In 7,446,711 135,000 1,746,100 500,000 343,378 10,171,189 Fund Balances/Reserves/Net Assets 8,824,612 6,791,130 1,131,602 2,838,798 5,817,396 25,403,538 TOTAL BUDGETED REVENUES, TRANSFERS & BALANCES 24,820,540 20,522,705 3,657,210 3,353,098 15,419,564 67,773,117 BUDGETED EXPENDITURES: General Government 5,777,465 628,688 14,000 3,500 6,423,653 Public Safety ? - ' ,,„ it 21,500 392,850 6,988,591 Physical Environment 2,313,000 5,450,082 7,763,082 Transportation 1,173,901 180,800 1,354,701 Culture and Recreation 2,038,422 2,038,422 Capital Outlay 728,030 4,344,345 2,327,750 1,885,145 9,285,270 Debt Service 121,514 2,470,800 1,906,000 4,498,314 Other Financing Uses TOTAL BUDGETED EXPENDITURES 16,413,573 7,488,333 2,484,800 2,331,250 9,634,077 38,352,033 lnterfund Transfers Out 726,328 6,924,304 - 11,825 2,508,732 10,171,189 Fund Balances/Reserves/Net Assets 7,680,639 6,110,068 1,172,410 1,010,023 3,276,755 19,249,895 TOTAL BUDGETED EXPENDITURES, TRANSFERS & BALANCES 24,820,540 20,522,705 3,657,210 3,353,098 15,419,564 67,773,117 THE TENTATIVE, ADOPTED, AND / OR FINAL BUDGETS ARE ON FILE IN THE OFFICE OF THE ABOVE - MENTIONED TAXING AUTHORITY AS A PUBLIC RECORD.