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HomeMy WebLinkAbout2010 11 15 Consent 203 Request Adoption of Resolution Number 2010-39 Amending Fiscal Year 2009-2010 Budget COMMISSION AGENDA Consent X ITEM 203 Information Public Hearin ' Re ' ul . MGR. /Dept. November 15, 2010 p Meeting REQUEST: The Finance Department and the City Manager request that the Commission adopt Resolution Number 2010 -39 amending the Fiscal Year 2009 -2010 Budget. SYNOPSIS: This agenda item is needed to amend the Fiscal Year 2009 -2010 Budget for those funds which varied from the mid -year budget. The majority of the amendments are necessary for one of the following reasons: - account for revenues and expenses in the appropriate fiscal period /year - variations between budgeted (estimated) and actual expenditures and revenues - 2009 -2010 agenda items approved and added throughout the fiscal year The chart on the following page offers a macro -level view of the effect of the cumulative amendments (mid- year and final) on budgeted ending fund balances. CONSIDERATIONS: The City Charter provides that the Commission may amend the budget by resolution. Resolution No. 2010- 39 represents the cumulative budget amendments to the Fiscal Year 2009 -2010 budget for those funds requiring amendment. On attachment 2, the mid -year amendments have been designated MYA and the final year -end amendments as FYA. Please note that only those funds requiring budget adjustment are included herein. Part of the normal course of operations at fiscal year -end is the accrual of revenues and expenses. The accruals are necessary for aligning revenues and expenses with the fiscal period to which they relate. It is also typical for some variances between actual and budgeted expenses and revenues to require budget adjustments. Furthermore, over the course of the fiscal year, various agenda items are approved by the Commission. In some cases, those approved agenda items lack specific language to amend the expenditure budget or the appropriation to or from fund balance. This resolution formalizes the fiscal impact of those actions. Shown in the chart below and in more detail in Attachment 2 are the final budgeted ending fund balances for those funds requiring amendment for fiscal year 2010. Please note that these are budgeted figures only, not to be confused with audited actuals which will be available by the end of March 2011. State statute requires that the final budget amendment be formalized by November 29, 2010 [Sections 129.06(2), 166.241, and 189.418(5), F.S.]. FUNDS REQUIRING AMENDMENT Budgeted Fund Balances at 9/30/10 Original Final Variance Comments $430K increased revenues (EFFF/PCST), General Fund $7,647,339 $7,934,972 $287,633 offset by $30K in supplemental approp, $85K in 2009 purchase order rollovers $575K results from an accrued FEMA liability recognized subsequent to approval of the original 2010 budget; Governmental Funds significant reductions in this liability will (exclusive of General be incorporated in the 2010 audited Fund) $2,046,828 $1,493,194 ($553,634) financial statements Elimination of $50K in W &S service availability fees; approx. $90K reduced Enterprise Funds $2,607,813 $2,645,595 $37,782 appropriation from Dev Svc Fund $12,301,980 $12,073,761 ($228,219) FISCAL IMPACT: Set forth in Attachments 2 and 3 COMMUNICATION EFFORTS: The budget amendments will be reflected in the 2009 -2010 Comprehensive Annual Financial Report (CAFR), audited and published in March 2011. RECOMMENDATION: It is recommended that the Commission adopt Resolution 2010 -39 amending the fiscal year 2009 -2010 budget. ATTACHMENTS: 1) Resolution Number 2010 -39 2) Budget Amendment Summary — General Fund, Other Governmental Funds, Enterprise Funds 3) General Fund Budget Amendment Recap 1115 10_COMM_Consent_203_FY 1 O_Final_Budget_Amendment RESOLUTION NUMBER 2010 -39 A RESOLUTION OF THE CITY COMMISSION OF THE CITY OF WINTER SPRINGS FLORIDA, AMENDING THE FISCAL YEAR 2009 -2010 BUDGET; PROVIDING FOR SEVERABILITY, REPEAL OF PRIOR INCONSISTENT RESOLUTIONS, AND AN EFFECTIVE DATE. WHEREAS, Section 7.05 of the City Charter provides that the annual City budget may be amended by Resolution duly adopted by the Commission; and WHEREAS, the City Commission of the City of Winter Springs deems that this Resolution is in the best interests of the public health, safety, and welfare of the citizens of Winter Springs. NOW, THEREFORE, BE IT RESOLVED BY THE CITY COMMISSION OF THE CITY OF WINTER SPRINGS, SEMINOLE COUNTY, FLORIDA, AS FOLLOWS: Section 1. Incorporation of Recitals. The foregoing recitals are deemed true and correct and are hereby fully incorporated by this reference. Section 2. That the Fiscal Year 2009 -2010 City Budgets are amended as provided in Attachments 2 and 3 attached hereto. Section 3. Repeal of Prior Inconsistent Resolutions. All prior resolutions or parts of resolutions in conflict herewith are hereby repealed to the extent of the conflict. Section 4. Severability. If any section, subsection, sentence, clause, phrase, word, or portion of this Resolution is for any reason held invalid or unconstitutional by any court of competent jurisdiction, such portion shall be deemed a separate, distinct and independent provision and such holding shall not affect the validity of the remaining portion hereto. Section 5. Effective Date. This Resolution shall become effective immediately upon adoption by the City Commission of the City of Winter Springs, Florida. RESOLVED by the City Commission of the City of Winter Springs, Florida, in a regular meeting assembled on the 15th day of November, 2010. CHARLES LACEY, Mayor City of Winter Springs, Florida Resolution 2010 -39 Page 1 of 2 ATTEST: ANDREA LORENZO - LUACES, City Clerk Approved as to legal form and sufficiency for the City of Winter Springs only: ANTHONY A. GARGANESE, City Attorney City of Winter Springs, Florida Resolution 2010 -39 Page 2 of 2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) Beg Fund 11/15/10; Consent 203 Balance from Actual Beg Fund Projected to Balance from 9/30/09 General Fund Actual CAFR Funds not included in this summary do not require budget amendment HELPFUL TOOLS: Comprehensive Annual Financial Report for the year ended September 30, 2009 as approved by City Commission on 3/22/2010 Regular 601; Fiscal Year 2009 -2010 Original Budget as approved by City Commission on 9/28/09 Public Hearing 501. General Fund #001: As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $8,809,612 ($30,798) $8,778,814 FY '10 Budgeted Appropriation to (from) Fund Balance 9/30/10 Budgeted Ending Fund Balance $7,647,339 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR ($30,798) Commission Approved: 10.12.09 Consent 203; Holiday Parade and Christmas Tree Lighting Budget Increased ($1,220) MYA 1.10.10 Regular 603; CPH Engineers, Inc. for Federal Energy Grant Application ($5,000) MYA 11.23.09 Regular 605; Land Design Inovations, Inc. provide Economic Development Services ($12,524) MYA 4.12.10 Regular 602; July 4, 2010 Celebration of Freedom Event - Expenditures ($17,617) MYA 4.12.10 Regular 602; July 4, 2010 Celebration of Freedom Event - Revenue $10,917 MYA 8.24.09 Consent 206; Demolition Contract for 1003 Gator Lane ($2,675) MYA Additional Appropriation to (from) Fund Balance (Comm Approved) ($28,119) Fiscal Year 'l0 Purchase Order Rollovers: PO 92932; 2010 Ford 150; 2113 ($16,934) MYA PO 90246; Records Management Outsourcing; 1342 ($20,000) MYA PO 90336; Electrical Rack Dog Park Power Pole; 7230 ($1,095) MYA PO 92598; Forensic Audit; 1300 ($17,500) MYA PO 93781; Versaprobe Wand UB Meter Equipment; 1360 ($3,310) MYA PO 91094; ActiveNet Export to MUNIS; 7200 ($800) MYA PO 93316 for PFM Arbitrage Services - 1900 ($10,000) MYA PO 93316 for PFM Arbitrage Services - 1360 ($5,000) MYA PO 93316 for PFM Arbitrage Services - 1300 ($2,500) MYA Hometown Harvest - roll budget from fiscal year 2009 to 2010 ($9,450) MYA Additional Appropriation to (from) Fund Balance (PO Rollovers) ($86,589) Revenue Neutral: Byrne Grant revenue - Overtime Reimbursement $13,158 MYA Byrne Grant expenditures - Overtime Costs ($13,158) MYA Byrne Grant revenue - Citizens on Patrol $5,292 MYA Byrne Grant expenditures - Citizens on Patrol ($5,292) MYA Parade event - Revenues budget $200 MYA Parade event - Expenditure budget ($200) MYA 17/92 CRA Local Government Grant Revenue $1 1,271 MYA 17/92 CRA Shepard Road Steetscape Project - Design Cost Expenditures ($11,271) MYA Insurance Settlements revenue $6,742 MYA Insurance Settlements expenditures ($6,742) MYA Arts Festival event - Revenues budget $328 MYA Arts Festival event - Expenditure budget ($328) MYA Scottish Highland Games event - Revenues budget $894 MYA Scottish Highland Games event - Expenditure budget ($894) MYA Insurance Settlements revenue $19,340 FYA Insurance Settlements expenditures ($19,340) FYA Increased transfers from 103 and 108 $37,352 FYA 8.9.10 Consent 200; Vehicle purchase (2) 2115 ($37,352) FYA Additional Appropriation to (from) Fund Balance (Revenue Neutral) $0 11.15.10_COM 203_Attachment_2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) Beg Fund 11/15/10; Consent 203 Balance from Actual Beg Fund Projected to Balance from 9/30/09 General Fund Actual CAFR Other: Employee Education Incentive Reimbursement $1,375 MYA Reduction to delinquent Fire Assessment fee revenues (received in prior years) ($69,683) MYA Inter- departmental transfer for Leadership seminar - from 1900 $2,998 MYA Inter - departmental transfer for leadership seminar - to 2110, 1200 ($2,998) MYA Reduction to Transfers In from Development Services per 2010 revised cost allocation study ($225,206) MYA Reduction in Transfer Out to Development Services per 2010 revised cost allocation study $25,653 MYA Increase transfer from Fire Assessment Fee Fund $1,000 FYA Inter - departmental transfer for year-end budgetary compliance - from 1900, 1200, 4415, 7230 $195,000 FYA Inter- departmental transfer for year-end budgetary compliance - to 2113 ($195,000) FYA Increase transfer from Public Communication & Services Tax Fund $400,000 FYA Increase transfer from Electric Franchise Fee Fund $300,000 FYA Additional Appropriation to (from) Fund Balance (Other) $433,139 Revisions to Original Budgeted Appropriation to (from) Fund Balance `,,,_ _ , 437 REVISED 9/30/10 Budgeted Ending Fund Balance $7,934,972 11.15.10_COMM_Consent 203_Attachment_2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) 11/15/10; Consent 203 Difference in Beg Actual Beg Fund Fund Balance from Balance from Other Governmental Funds Projected to Actual 9/30/09 CAFR Special Law Enforcement Fund - Local #103 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $11,979 $7,155 $19,134 FY '10 Budgeted Appropriation to (from) Fund Balance ($10,950); 9/30/10 Budgeted Ending Fund Balance $1,029 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $7,155 11.9.09 Consent 202; Lockbox program, Santa Run 2009, 1 -year subscription to Crime Reports ($3,850) MYA Increase confiscated property revenue budget to reflect actuals at 10.6.10 $49,000 FYA 8.9.10 Consent 200; Increase transfer to General Fund for vehicle purchase ($22,000) FYA Revisions to Original Budgeted Fund Balance $30,305 REVISED 9/30/10 Budgeted Ending Fund Balance $31,334 Special Law Enforcement Trust Fund - Federal #108 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $14,501 $20 $14,521 FY '10 Budgeted Appropriation to (from) Fund Balance ($10,455) 9/30/10 Budgeted Ending Fund Balance $4,046 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $20 2.8.10 Consent 200; Donation to Central Florida Crimeline, Inc. ($2,500) MYA Increase confiscated property revenue budget to reflect actuals at 10.6.10 $49,000 FYA 8.9.10 Consent 200; Increase transfer to General Fund for vehicle purchase ($15,352) FYA Revisions to Original Budgeted Fund Balance $31,168 REVISED 9/30/10 Budgeted Ending Fund Balance $35,214 Emergency & Disaster Relief Fund #109 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $719,221 ($574,220) $145,001 FY '10 Budgeted Appropriation to (from) Fund Balance ($2,000) 9/30/10 Budgeted Ending Fund Balance $717,221 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR ($574,220) Rollover of PO 93316 for PFM Arbitrage Services ($1,500) MYA Increase expenditure budget for legal services related to Grubbs litigation ($17,000) MYA Increase expenditure budget for Temp Services related to FEMA close outs and appeals ($10,850) MYA Increase expenditure budget for Consulting Services related to Beck Disaster Recovery ($25,000) MYA Revisions to Original Budgeted Fund Balance ($628,570) REVISED 9/30/10 Budgeted Ending Fund Balance $88,651 11.15.10_COMM_Consent 203_Attachment_2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) 11/15/10; Consent 203 Difference in Beg Actual Beg Fund Fund Balance from Balance from Other Governmental Funds Projected to Actual 9/30/09 CAFR Arbor Fund #110 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $246,491 ($453) $246,038 FY '10 Budgeted Appropriation to (from) Fund Balance ($690) 9/30/10 Budgeted Ending Fund Balance $245,801 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR ($453) FDOF grant revenue for Moss Road Tree Re- forestation project $18,537 FDOF grant expenditures for Moss Road Tree Re- forestation project ($18,537) Revisions to Original Budgeted Fund Balance ($453) REVISED 9/30/10 Budgeted Ending Fund Balance $245,348 HOA Project Fund #112 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $5,533 ($4) $5,529 FY '10 Budgeted Appropriation to (from) Fund Balance (88) 9/30/10 Budgeted Ending Fund Balance $5,525 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR ($4) Increase investment revenue budget $80 FYA Increase budgeted refund to HOA due to investment earnings (primarily unrecognized gains) ($76) FYA Revisions to Original Budgeted Fund Balance $0 REVISED 9/30/10 Budgeted Ending Fund Balance $5,525 L ..... A� _. �.. \ \ �,- X Veteran's Memorial Fund #116 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $21,501 $2,258 $23,759 FY '10 Budgeted Appropriation to (from) Fund Balance (81,860) 9/30/10 Budgeted Ending Fund Balance $19,641 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $2,258 Donations $800 MYA Expenditure budget offsetting donations ($800) MYA Increase expenditure budget for engravings ($110) MYA Revisions to Original Budgeted Fund Balance $2,148 REVISED 9/30/10 Budgeted Ending Fund Balance $21,789 11.15.10_COMM_Consent 203_Attachment_2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) 11/15/10; Consent 203 Difference in Beg Actual Beg Fund Fund Balance from Balance from Other Governmental Funds Projected to Actual 9/30/09 CAFR Medical Transport Services Fund #170 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $572,659 $18,382 $591,041 FY '10 Budgeted Appropriation to (from) Fund Balance $4,300 9/30/10 Budgeted Ending Fund Balance $576,959 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $18,382 Record 2010 expenditure budget for ADPI's collection service of existing Accounts Receivable ($1,000) MYA Establish maximum budget for bad expense ($12,350) FYA Revisions to Original Budgeted Fund Balance $5,032 REVISED 9/30/10 Budgeted Ending Fund Balance $581,991 Asa s, a.. „.. ia.•. \ :1 8; 3^ �anL <,,.;r '\ ..> ,....,. « „ \ .. ' Public and Communication Services Tax Fund #172 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $0 $0 FY '10 Budgeted Appropriation to (from) Fund Balance $0 9/30/10 Budgeted Ending Fund Balance $0 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $0 Increase electricity tax revenue budget (align with year -end actuals) $475,000 FYA Decrease communication services tax revenue budget (align with year -end actuals) ($75,000) FYA Increase transfer to General Fund for fund balance in excess of annual debt service requirement ($400,000) FYA Revisions to Original Budgeted Fund Balance $0 REVISED 9/30/10 Budgeted Ending Fund Balance $0 Electric Franchise Fee Fund #174 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $0 $0 FY '10 Budgeted Appropriation to (from) Fund Balance $0 9/30/10 Budgeted Ending Fund Balance $0 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $0 Increase electricity franchise fee revenue budget (align with year -end actuals) $300,000 FYA Increase transfer to General Fund for fund balance in excess of annual debt service requirement ($300,000) FYA Revisions to Original Budgeted Fund Balance $0 REVISED 9/30/10 Budgeted Ending Fund Balance $0 11.15.10_COMM_Consent 203_Attachment_2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) 11/15/10; Consent 203 Difference in Beg Actual Beg Fund Fund Balance from Balance from Other Governmental Funds Projected to Actual 9/30/09 CAFR Fire Assessment Fee Fund #175 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $19,668 $4,370 $24,038 FY '10 Budgeted Appropriation to (from) Fund Balance ($19,66S) 9/30/10 Budgeted Ending Fund Balance $0 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $4,370 Fully Appropriate Fund Balance in anticipation of Fund's closing in FY 2010 ($4,370) MYA Reduce Fire Assessment Fee Revenue budget ($69,683) MYA Reduce Transfer to General Fund budget $69,683 MYA Increase investment revenue budget to align with actuals $1,000 FYA Increase transfer to General Fund budget ($1,000) FYA Revisions to Original Budgeted Fund Balance $0 REVISED 9/30/10 Budgeted Ending Fund Balance SO '..mw. .... :„"m TLBD Debt Service Fund #182 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $189,371 $4,450 $193,821 FY '10 Budgeted Appropriation to (from) Fund Balance $8,765 9/30/10 Budgeted Ending Fund Balance $198,136 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $4,450 Rollover of PO 93316 for PFM Arbitrage Services ($2,500) MYA Revisions to Original Budgeted Fund Balance $1,950 REVISED 9/30/10 Budgeted Ending Fund Balance $200,086 TLBD Maintenance Fund #184 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $406,628 ($10,827) $395,801 FY '10 Budgeted Appropriation to (from) Fund Balance ($133,423) 9/30/10 Budgeted Ending Fund Balance $273,205 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR ($10,827) Decrease transfer to General - insurance premium less than budget $2,454 MYA Insurance proceeds - Vertex Settlement $12,500 MYA Landscape Beautification Expenditures using proceeds ($12,500) MYA Revisions to Original Budgeted Fund Balance ($8,373)', REVISED 9/30/10 Budgeted Ending Fund Balance $264,832 11.15.10_COMM_Consent 203_Attachment_2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) 11/15/10; Consent 203 Difference in Beg Actual Beg Fund Fund Balance from Balance from Other Governmental Funds Projected to Actual 9/30/09 CAFR Oak Forest Maintenance Fund #191 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $25,859 $5,811 $31,670 FY '10 Budgeted Appropriation to (from) Fund Balance ($362) Budgeted Ending Fund Balance $25,497 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $5,811 Decrease transfer to General - insurance premium less than budget $611 MYA Revisions to Original Budgeted Fund Balance $6,422 REVISED 9/30/10 Budgeted Ending Fund Balance $31,919 Oak Forest Maintenance Fund #192 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $3,503 $3,299 $6,802 FY '10 Budgeted Appropriation to (from) Fund Balance $1,005 9/30/10 Budgeted Ending Fund Balance $4,508 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $3,299 Rollover of PO 93316 for PFM Arbitrage Services ($2,500) MYA Revisions to Original Budgeted Fund Balance $799 9/30/10 Budgeted Ending Fund Balance $5,307 2004 Capital Project Debt Service Fund #230 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $7,720 ($404) $7,316 FY '10 Budgeted Appropriation to (from) Fund Balance ($7,500)I 9/30/10 Budgeted Ending Fund Balance $220 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR ($404) Reduce interest expense - draw for Senior Center was repaid sooner than anticipated $200 MYA Revisions to Original Budgeted Fund Balance ($204) REVISED 9/30/10 Budgeted Ending Fund Balance $16 11.15.10_COMM_Consent 203 Attachment_2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) 11/15/10; Consent 203 Difference in Beg Actual Beg Fund Fund Balance from Balance from Other Governmental Funds Projected to Actual 9/30/09 CAFR 1999 Construction Capital Project Fund #305 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $897,367 $2,008 $899,375 FY '10 Budgeted Appropriation to (from) Fund Balance ($897,275) 9/30/10 Budgeted Ending Fund Balance $92 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $2,008 Reduce expenditures - CIP Magnolia Park $11,000 MYA Revisions to Original Budgeted Fund Balance $13,008 REVISED 9/30/10 Budgeted Ending Fund Balance $13,100 Utilitv /Public Works Facility Capital Project Fund #311 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $935,945 ($502) $935,443 FY '10 Budgeted Appropriation to (from) Fund Balance ($935,500) 9/30/10 Budgeted Ending Fund Balance $445 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR ($502) Reduce expenditure budget for Utility/PW Facility $58 MYA Revisions to Original Budgeted Fund Balance ($444) REVISED 9/30/10 Budgeted Ending Fund Balance $1 11.15.10_COMM_Consent 203 Attachment 2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) 11/15/10; Consent 203 Enterprise Funds Difference in Actual Ending Capital Assets Beg Fund Bal Fund Balance as (Note - As enterprise funds, the following' fund balances' are technically not their fund balances but rather a (net of related from projected shown in the projection of their year - end net assets less net capital.) debt) to actual 9/30/09 CAFR Water and Sewer Utility Fund - Operating ( #3600): As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $4,273,821 $9,345,083 ($85,864) $13,533,040 FY '10 Budgeted Appropriation to (from) Fund Balance ($1,5$6,472) 9/30/10 Budgeted Ending Fund Balance $2,687,349 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR ($85,864) Traffic Accident Insurance Proceeds $2,475 MYA Traffic Accident expenditure budget (rev neutral) ($2,475) MYA Revisions to Original Budgeted Fund Balance ($85,864) REVISED 9/30/10 Budgeted Ending Fund Balance (exclusive of net capital) $2,601,485 Water and Sewer Utility Fund - Revenue Generation ( #3620): As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $25,402 $11,802 $37,204 FY '10 Budgeted Appropriation to (from) Fund Balance ($25,402)' 9/30/10 Budgeted Ending Fund Balance $0 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $11,802 Fully Appropriate Fund Balance in anticipation of closing Revenue Generation ( #3620) in FY 2010 ($11,802) MYA Revisions to Original Budgeted Fund Balance $0 REVISED 9/30/10 Budgeted Ending Fund Balance $0 Water and Sewer Utility Fund - 2000 Construction ( #3640): As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $300,643 $75,924 $376,567 FY '10 Budgeted Appropriation to (from) Fund Balance ($297,043); 9/30/10 Budgeted Ending Fund Balance $3,600 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $75,924 PO Rollover #90921 ($77,000) MYA FY '06 Revised Budgeted Appropriation to (from) Fund Balance ($1,076),1 REVISED 9/30/10 Budgeted Ending Fund Balance $2,524 z k +�+ aas j➢,:yie"'j ixmM =,a.: .v „e ; zN �.�� �� - - j»'� "�i�.:z •;. • ���c�����,,.iz Y �`` i�i�� - �> ;�r Water and Sewer - Service Availability ( #402): As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $0 $0 $0 FY '10 Budgeted Appropriation to (from) Fund Balance $50,190 9/30/10 Budgeted Ending Fund Balance $50,190 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $0 Eliminate Residential Service Availability Fee Budget ($10,000) FYA Eliminate Commercial Service Availability Fee Budget ($40,000) FYA Remove investment earnings budget ($190) FYA FY '06 Revised Budgeted Appropriation to (from) Fund Balance (850,190),' REVISED 9/30/10 Budgeted Ending Fund Balance $0 Not requiring amendment: Water and Sewer - Renewal & Replacement ( #3610) $686,812 Total Water & Sewer "Fund Balance" (ties to CAFR) • $14,633,623 11.15.10_COMM_Consent 203_Attachment_2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) 11/15/10; Consent 203 Enterprise Funds Difference in Actual Ending Capital Assets Beg Fund Bal Fund Balance as (Note - As enterprise funds, the following' fund balances' are technically not their fund balances but rather a (net of related from projected shown in the projection of their year -end net assets less net capital.) debt) to actual 9/30/09 CAFR Development Services Fund #420 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance ($66,477) $8,375 ($855) ($58,957) FY '10 Budgeted Appropriation to (from) Fund Balance ($468,324) 9/30/10 Budgeted Ending Fund Balance ($534,801) Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR ($855) Reductions in Transfers to General Fund per 2010 revised cost allocation study $225,206 MYA Reductions in Transfer from General Fund per 2010 revised cost allocation study ($25,653) MYA Decrease Plans Review revenue budget ($50,000) FYA Decrease Building Permit revenue budget ($80,000) FYA Increase Mechanical Permit revenue budget $25,000 FYA Revisions to Original Budgeted Fund Balance $93,698 REVISED 9/30/10 Budgeted Ending Fund Balance (exclusive of net capital) ($441,103) 6 ;0 \,,.... Stormwater Utility Fund #430 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $615,065 $3,685,383 $81,214 $4,381,662 FY '10 Budgeted Appropriation to (from) Fund Balance ($213,590)', 9/30/10 Budgeted Ending Fund Balance $401,475 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $81,214 SJRWMD grant revenue budget - Solary Canal Regional Stormwater Treatment Area $1,612,313 MYA SJRWMD grant expenditure budget - Solary Canal Regional Stormwater Treatment Area ($1,612,313) MYA Contributed capital - revenue budget $1,820,000 FYA Capitalization of contributed capital - expenditure budget ($1,820,000) FYA Revisions to Original Budgeted Fund Balance $81,214 REVISED 9/30/10 Budgeted Ending Fund Balance (exclusive of net capital) $482,689 11.15.10_COMM_Consent 203_Attachment_2 Attachment 3 - General Fund Budget Amendment Recap (Resolution 2010 -39) 11/15/10; Consent 203 FY 10 Commission Other FY 10 Original Approved Revenue Requests Amended Annual Intra- departmental Inter- departmental Amendments to PO Neutral to Amend Annual Dent # Budget kLmffers Transfers Appropriation Rollovers Changes Appropriation Budget General Fund Revenues & Transfers $ 15,977,628 $ 15,977,628 17/92 CRA - Shepard Road Streetscape Project - Revenues $ 11,271 $ 11,271 July 4th event - Revenue budget $ 10,917 $ 6,047 $ 16,964 Scottish Highland Games event - Revenue budget $ 894 $ 894 10.01.09 Invoice 1 - Education Incentive Reimbursement $ 1,375 $ 1,375 Reduce transfer from Fire Assessment Fund $ (68,683) $ (68,683) Misc. Revenue - proceeds police car sold for salvage $ 580 $ 580 True up of 'transfers in' for actual insurance premium costs (Oak Forest/TLBD) $ (3,065) $ (3,065) Reduction to Transfers from Development Services per 2010 GSG cost allocation study $ (225,206) $ (225,206) Byrne Grant revenue - Citizens on Patrol $ 5,292 $ 5,292 Art Festival - Revenues budget $ 328 $ 328 True up of 'transfers in' from PCST Fund $ 400,000 $ 400,000 True up of 'transfers in' from EFF Fund $ 300,000 $ 300,000 Insurance Settlements $ 27,382 $ 27,382 Byrne Grant revenue - Overtime Reimbursement $ 17,919 $ 17,919 Donation for Banners $ 200 $ 200 Transfers from funds 103, 108 for vehicle purchase $ 37,352 $ 37,352 General Fund Revenues & Transfers $ 15,977,628 $ - $ - $ 10,917 $ - $ 104,200 $ 407,486 $ 16,500,231 General Fund Expenditures City Commission 1100 $ 112,750 $ 1,000 $ 113,750 Various Boards 1110 $ 7,770 $ 7,770 City Manager 1200 $ 292,826 $ (9,001) $ 283,825 City Clerk 1210 $ 227,455 $ 227,455 General Government - Legal Services 1220 $ 241,000 $ 241,000 Finance 1300 $ 580,096 $ 20,000 $ 600,096 General Service - Human Resources 1310 $ 99,156 $ 99,156 General Service - Purchasing 1330 $ 68,081 $ (12,000) $ 56,081 Information Systems - General 1340 $ 557,180 $ (104) $ 500 $ 557,576 Information Systems - Special Projects 1341 $ 164,953 $ 104 $ 165,057 Information Systems - Records Mgmt 1342 $ 138,805 $ 20,000 $ 158,805 Information Systems - KIVA/GIS 1343 $ 168,791 $ 168,791 Finance - Utility Billing 1360 $ 689,373 $ 8,310 $ 697,683 Comm Development - Administration 1510 $ 229,847 $ 2,675 $ (25,653) $ 206,869 Comm Development - Planning 1515 $ 109,303 $ 109,303 Comm Development - Development Review 1520 $ 100,626 $ 100,626 Comm Development - Urban Beautification 1525 $ 793,680 $ (950) $ 17,209 $ 809,939 Comm Development - Streetlighting 1526 $ 441,750 $ 950 $ 442,700 General Government- General 1900 $ 334,705 $ (128,998) $ 12,524 $ 10,000 $ 228,231 General Service - City Hall 1910 $ 179,954 $ (24,500) $ 155,454 General Service - City Hall Operator 1915 $ 40,362 $ 40,362 General Service - Risk Management 1920 $ 337,000 $ 36,500 $ (3,065) $ 370,435 Police - Chief 2110 $ 239,537 $ (9,306) $ 1,999 $ 232,230 Police- Criminal Investigations 2113 $ 835,376 $ 1,440 $ 195,000 $ 16,934 $ - $ 1,048,750 Police - Operations Support 2114 $ 269,046 $ 389 $ 6,654 $ 276,089 11 .15.10 COMM Consent 203 Attachment 3 Attachment 3 - General Fund Budget Amendment Recap (Resolution 2010 -39) 11/15/10; Consent 203 1 FY 10 Commission Other FY 10 Original Approved Revenue Requests Amended Annual Infra- departmental Inter- departmental Amendments to PO Neutral to Amend Annual Dept # Budret Trans ers Transfers Appropriation Rollovers Chances Appropriation Budret Police - Operations 2115 $ 3,015,427 $ (29,094) $ 3,900 $ 1,520 $ 71,930 $ 3,063,683 Police - Information Services 2116 $ 1,237,943 $ 8,074 $ 1,246,017 Police - Tech Services 2117 $ 399,477 $ 851 $ 400,328 Police - Code Enforcement 2118 $ 454,604 $ (3,202) $ 772 $ 452,174 Police - Motorcycle 2119 $ 310,338 $ 32,511 $ 95 $ 342,944 Police - Canine 2120 $ 138,920 $ 1,300 $ 1,032 $ 141,252 Police - Professional Standards 2121 $ 267,622 $ (2,963) $ 264,659 Public Works - Administration 4410 $ 181,995 $ 1,100 $ 5,000 $ 188,095 Public Works- Roads & ROW 4412 $ 667,378 $ (1,100) $ 600 $ 125 $ 2,382 $ 669,385 Public Works - Fleet 4413 $ 198,844 $ 198,844 Public Works - Facilities 4414 $ 67,524 $ 125 $ 67,649 Public Works - Capital Projects 4415 $ 79,985 $ (30,000) $ 49,985 P &R - Administration 7200 $ 185,088 $ 4,430 $ 800 $ 190,318 P &R - Athletics 7210 $ 212,137 $ 212,137 P &R - Athletics League 7211 $ 51,000 $ 51,000 P &R - Athletics Partnerships 7212 $ 36,200 $ 36,200 P &R - Parks & Grounds 7230 $ 1,068,119 $ (37,614) $ (30,000) $ 1,400 $ 1,095 $ 1,144 $ 1,004,144 P &R - Programs 7240 $ 187,272 $ 25,000 $ 212,272 P &R - Seniors 7250 $ 190,274 $ 6,989 $ 197,263 P &R - Senior Center Pool 7251 $ 729,177 $ 1,000 $ 730,177 P &R - Community Events 7260 $ 17,500 $ (1,500) $ 12,437 $ 7,680 $ 6,047 $ 42,164 P &R - Hound Ground 7270 $ 120,383 $ 1,695 $ 122,078 P &R - Splash Playgrounds 7280 $ 63,272 $ 63,272 General Fund Expenditures $ 17,139,901 $ (0) $ - $ 39,036 $ 86,589 $ 104,200 $ (25,653) $ 17,344,073 Budgeted Approp to (from) Fund Balance $ (1,162,273) $ 0 $ - $ (28,119) $ (86,589) $ - $ 433,139 $ (843,842) 11.15.10_COMM_Consent 203_Attachment_3 RESOLUTION NUMBER 2010 -39 A RESOLUTION OF THE CITY COMMISSION OF THE CITY OF WINTER SPRINGS FLORIDA, AMENDING THE FISCAL YEAR 2009 -2010 BUDGET; PROVIDING FOR SEVERABILITY, REPEAL OF PRIOR INCONSISTENT RESOLUTIONS, AND AN EFFECTIVE DATE. WHEREAS, Section 7.05 of the City Charter provides that the annual City budget may be amended by Resolution duly adopted by the Commission; and WHEREAS, the City Commission of the City of Winter Springs deems that this Resolution is in the best interests of the public health, safety, and welfare of the citizens of Winter Springs. NOW, THEREFORE, BE IT RESOLVED BY THE CITY COMMISSION OF THE CITY OF WINTER SPRINGS, SEMINOLE COUNTY, FLORIDA, AS FOLLOWS: Section 1. Incorporation of Recitals. The foregoing recitals are deemed true and correct and are hereby fully incorporated by this reference. Section 2. That the Fiscal Year 2009 -2010 City Budgets are amended as provided in Attachments 2 and 3 attached hereto. Section 3. Repeal of Prior Inconsistent Resolutions. All prior resolutions or parts of resolutions in conflict herewith are hereby repealed to the extent of the conflict. Section 4. Severability. If any section, subsection, sentence, clause, phrase, word, or portion of this Resolution is for any reason held invalid or unconstitutional by any court of competent jurisdiction, such portion shall be deemed a separate, distinct and independent provision and such holding shall not affect the validity of the remaining portion hereto. Section 5. Effective Date. This Resolution shall become effective immediately upon adoption by the City Commission of the City of Winter Springs, Florida. RESOLVED by the City Commission of the City of Winter Springs, Florida, in a regular meeting assembled on the 15th day of November, 2010. 4 2 1 / / RLE A � , Mayor City of winter Springs, Florida Resolution 2010 -39 Page 1 of 2 ATTEST: n 1 • O RENZO- LUACES, City Clerk Approved as to legal form and sufficiency for the City Winter Springs only: ANTHONY A. GARGANESE, City Attorney City of Winter Springs, Florida Resolution 2010 -39 Page 2 of 2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) Beg Fund Balance from Actual Beg Fund 11 /15 /10; Consent 203 Projected to Balance from 9/30/09 General Fund Actual CAFR Funds not included in this summary do not require budget amendment HELPFUL TOOLS: Comprehensive Annual Financial Report for the year ended September 30, 2009 as approved by City Commission on 3/22/2010 Regular 601; Fiscal Year 2009 -2010 Original Budget as approved by City Commission on 9/28/09 Public Hearing 501. General Fund #001: As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $8,809,612 FY '10 Budgeted Appropriation to (from) Fund Balance ;. ($30,798) $8,778,814 9/30/10 Budgeted Ending Fund Balance $7,647,339 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR ($30,798) Commission Approved 10.12.09 Consent 203; Holiday Parade and Christmas Tree Lighting Budget Increased ($1,220) MYA 1.10.10 Regular 603; CPH Engineers, Inc. for Federal Energy Grant Application ($5,000) MYA 11.23.09 Regular 605; Land Design Inovations, Inc. provide Economic Development Services ($12,524) MYA 4.12.10 Regular 602; July 4, 2010 Celebration of Freedom Event - Expenditures ($17,617) MYA 4.12.10 Regular 602; July 4, 2010 Celebration of Freedom Event - Revenue $10,917 MYA 8.24.09 Consent 206; Demolition Contract for 1003 Gator Lane ($2,675) MYA Additional Appropriation to (from) Fund Balance (Comm Approved) ($28,119) Fiscal Year '10 Purchase Order Rollovers: PO 92932; 2010 Ford 150; 2113 ($16,934) MYA PO 90246; Records Management Outsourcing; 1342 ($20,000) MYA PO 90336; Electrical Rack Dog Park Power Pole; 7230 ($1,095) MYA PO 92598; Forensic Audit; 1300 ($17,500) MYA PO 93781; Versaprobe Wand UB Meter Equipment; 1360 ($3,310) MYA PO 91094; ActiveNet Export to MUNIS; 7200 ($800) MYA PO 93316 for PFM Arbitrage Services - 1900 ($10,000) MYA PO 93316 for PFM Arbitrage Services - 1360 ($5,000) MYA PO 93316 for PFM Arbitrage Services - 1300 ($2,500) MYA Hometown Harvest - roll budget from fiscal year 2009 to 2010 ($9,450) MYA Additional Appropriation to (from) Fund Balance (PO Rollovers) ($86,589) Revenue Neutral: Byrne Grant revenue - Overtime Reimbursement $13,158 MYA Byrne Grant expenditures - Overtime Costs ($13,158) MYA Byrne Grant revenue - Citizens on Patrol $5,292 MYA Byrne Grant expenditures - Citizens on Patrol ($5,292) MYA Parade event - Revenues budget $200 MYA Parade event - Expenditure budget ($200) MYA 17/92 CRA Local Government Grant Revenue $11,271 MYA 17/92 CRA Shepard Road Steetscape Project - Design Cost Expenditures ($11,271) MYA Insurance Settlements revenue $6,742 MYA Insurance Settlements expenditures ($6,742) MYA Arts Festival event - Revenues budget $328 MYA Arts Festival event - Expenditure budget ($328) MYA Scottish Highland Games event - Revenues budget $894 MYA Scottish Highland Games event - Expenditure budget ($894) MYA Insurance Settlements revenue $19,340 FYA Insurance Settlements expenditures ($19,340) FYA Increased transfers from 103 and 108 $37,352 FYA 8.9.10 Consent 200; Vehicle purchase (2) 2115 ($37,352) FYA Additional Appropriation to (from) Fund Balance (Revenue Neutral) $0 11.15.10_COMM_Consent 203_Attachment_2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) Beg Fund 11 /15 /10; Consent 203 Balance from Actual Beg Fund Projected to Balance from 9/30/09 General Fund Actual CAFR Other: Employee Education Incentive Reimbursement $1,375 MYA Reduction to delinquent Fire Assessment fee revenues (received in prior years) ($69,683) MYA Inter - departmental transfer for leadership seminar - from 1900 $2,998 MYA Inter - departmental transfer for leadership seminar - to 2110, 1200 ($2,998) MYA Reduction to Transfers In from Development Services per 2010 revised cost allocation study ($225,206) MYA Reduction in Transfer Out to Development Services per 2010 revised cost allocation study $25,653 MYA Increase transfer from Fire Assessment Fee Fund $1,000 FYA Inter- departmental transfer for year-end budgetary compliance - from 1900, 1200, 4415, 7230 $195,000 FYA Inter - departmental transfer for year-end budgetary compliance - to 2113 ($195,000) FYA Increase transfer from Public Communication & Services Tax Fund $400,000 FYA Increase transfer from Electric Franchise Fee Fund $300,000 FYA Additional Appropriation to (from) Fund Balance (Other) $433,139 Revisions to Original Budgeted Appropriation to (from) Fund Balance g " REVISED 9/30/10 Budgeted Ending Fund Balance $7,934,972 11.15.10_COMM_Consent 203_Attachment_2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) 1 1/15/10; Consent 203 Difference in Beg Actual Beg Fund Fund Balance from Balance from Other Governmental Funds Projected to Actual 9/30/09 CAFR Special Law Enforcement Fund - Local #103 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $11,979 $7,155 $19,134 FY '10 Budgeted Appropriation to (from) Fund Balance ($10,950)! 9/30/10 Budgeted Ending Fund Balance $1,029 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $7,155 11.9.09 Consent 202; Lockbox program, Santa Run 2009, 1 -year subscription to Crime Reports ($3,850) MYA Increase confiscated property revenue budget to reflect actuals at 10.6.10 $49,000 FYA 8.9.10 Consent 200; Increase transfer to General Fund for vehicle purchase ($22,000) FYA Revisions to Original Budgeted Fund Balance $30,305 REVISED 9/30/10 Budgeted Ending Fund Balance $31,334 Sz- S d.E .S _ ._ 1" ; A.u. ,., KELP ASEtiffil Special Law Enforcement Trust Fund - Federal #108 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $14,501 $20 $14,521 FY '10 Budgeted Appropriation to (from) Fund Balance ($10,455); 9/30/10 Budgeted Ending Fund Balance $4,046 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $20 2.8.10 Consent 200; Donation to Central Florida Crimeline, Inc. ($2,500) MYA Increase confiscated property revenue budget to reflect actuals at 10.6.10 $49,000 FYA 8.9.10 Consent 200; Increase transfer to General Fund for vehicle purchase ($15,352) FYA Revisions to Original Budgeted Fund Balance $31,168 REVISED 9/30/10 Budgeted Ending Fund Balance $35,214 VENWIMINOSIIiiMairgitttiertiVNIMIZIOE EmerEency & Disaster Relief Fund #109 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $719,221 ($574,220) $145,001 FY '10 Budgeted Appropriation to (from) Fund Balance ($2,000)','', 9/30/10 Budgeted Ending Fund Balance $717,221 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR ($574,220) Rollover of PO 93316 for PFM Arbitrage Services ($1,500) MYA Increase expenditure budget for legal services related to Grubbs litigation ($17,000) MYA Increase expenditure budget for Temp Services related to FEMA close outs and appeals ($10,850) MYA Increase expenditure budget for Consulting Services related to Beck Disaster Recovery ($25,000) MYA Revisions to Original Budgeted Fund Balance ($628,570) REVISED 9/30/10 Budgeted Ending Fund Balance $88,651 11.1 5.10 COMM Consent 203_Attachment_2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) 11/15/10; Consent 203 Difference in Beg Actual Beg Fund Fund Balance from Balance from Other Governmental Funds Projected to Actual 9/30/09 CAFR Arbor Fund #110 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $246,491 ($453) $246,038 FY '10 Budgeted Appropriation to (from) Fund Balance • ($090).. 9/30/10 Budgeted Ending Fund Balance $245,801 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR ($453) FDOF grant revenue for Moss Road Tree Re- forestation project $18,537 FDOF grant expenditures for Moss Road Tree Re- forestation project ($18,537) Revisions to Original Budgeted Fund Balance (5453) REVISED 9/30/10 Budgeted Ending Fund Balance $245,348 HOA Project Fund #112 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $5,533 (54) $5,529 FY '10 Budgeted Appropriation to (from) Fund Balance ($8) Budgeted Ending Fund Balance $5,525 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR ($4) Increase investment revenue budget $80 FYA Increase budgeted refund to HOA due to investment earnings (primarily unrecognized gains) ($76) FYA Revisions to Original Budgeted Fund Balance $0 REVISED 9/30/10 Budgeted Ending Fund Balance $5,525 ',. .....tk4'r �s�s. �. 7 .. a. 4xw n ; , ..... fc r:�. ...»u a.."�H• .. �~ '• �:.�.. a.. �. .. 27 . •� N " o : . x Ei " . 3 Z T : 7: Veteran's Memorial Fund #116 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $21,501 $2,258 $23,759 FY '10 Budgeted Appropriation to (from) Fund Balance ($1,864 ; 9/30/10 Budgeted Ending Fund Balance $19,641 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $2,258 Donations $800 MYA Expenditure budget offsetting donations ($800) MYA Increase expenditure budget for engravings ($110) MYA Revisions to Original Budgeted Fund Balance $2,148 REVISED 9/30/10 Budgeted Ending Fund Balance $21,789 11.15.10_COMM_Consent 203_Attachment_2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) 1 1/15/10; Consent 203 Difference in Beg Actual Beg Fund Fund Balance from Balance from Other Governmental Funds Projected to Actual 9/30/09 CAFR Medical Transport Services Fund #170 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $572,659 $18,382 $591,041 FY '10 Budgeted Appropriation to (from) Fund Balance ", $4,300 = -- 9/30/10 Budgeted Ending Fund Balance $576,959 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $18,382 Record 2010 expenditure budget for ADPI's collection service of existing Accounts Receivable ($1,000) MYA Establish maximum budget for bad expense ($12,350) FYA Revisions to Original Budgeted Fund Balance 55,032 REVISED 9/30/10 Budgeted Ending Fund Balance $581,991 Public and Communication Services Tax Fund #172 As approved by City Conunission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $0 $0 FY '10 Budgeted Appropriation to (from) Fund Balance $0 9/30/10 Budgeted Ending Fund Balance $0 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $0 Increase electricity tax revenue budget (align with year -end actuals) $475,000 FYA Decrease communication services tax revenue budget (align with year -end actuals) ($75,000) FYA Increase transfer to General Fund for fund balance in excess of annual debt service requirement ($400,000) FYA Revisions to Original Budgeted Fund Balance $0 REVISED 9/30/10 Budgeted Ending Fund Balance $0 222TwLIS ETER uaCEP.,�,�ER :r »,, �"� «.�s22 E�- ..«�nz °, Electric Franchise Fee Fund #174 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $0 $0 FY '10 Budgeted Appropriation to (from) Fund Balance $0 9/30/10 Budgeted Ending Fund Balance $0 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $0 Increase electricity franchise fee revenue budget (align with year -end actuals) $300,000 FYA Increase transfer to General Fund for fund balance in excess of annual debt service requirement ($300,000) FYA Revisions to Original Budgeted Fund Balance $0 REVISED 9/30/10 Budgeted Ending Fund Balance $0 11 .15.10 COMM Consent 203 Attachment 2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) 11/15/10; Consent 203 Difference in Beg Actual Beg Fund Fund Balance from Balance from Other Governmental Funds Projected to Actual 9/30/09 CAFR Fire Assessment Fee Fund #175 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $19,668 $4,370 $24,038 FY '10 Budgeted Appropriation to (from) Fund Balance ($19,668), 9/30/10 Budgeted Ending Fund Balance $0 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $4,370 Fully Appropriate Fund Balance in anticipation of Fund's closing in FY 2010 ($4,370) MYA Reduce Fire Assessment Fee Revenue budget ($69,683) MYA Reduce Transfer to General Fund budget $69,683 MYA Increase investment revenue budget to align with actuals $1,000 FYA Increase transfer to General Fund budget ($1,000) FYA Revisions to Original Budgeted Fund Balance $0 REVISED 9/30/10 Budgeted Ending Fund Balance $0 ESE- �;'«ta.,m,w�.w..ar„' dam. ..w.`s P;3.a EE .,,d TEENFSeuaNER:.. itl E TLBD Debt Service Fund #182 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $189,371 $4,450 $193,821 FY '10 Budgeted Appropriation to (from) Fund Balance $8,765 9/30/10 Budgeted Ending Fund Balance $198,136 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $4,450 Rollover of PO 93316 for PFM Arbitrage Services ($2,500) MYA Revisions to Original Budgeted Fund Balance $1,950 REVISED 9/30/10 Budgeted Ending Fund Balance $200,086 v;i g i ,a � 4 0 "`... 4 m., . . .... . .. Vin ,.. ""$ � i naK l .. 'v Y' �.� (a TLBD Maintenance Fund #184 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $406,628 ($10,827) $395,801 FY '10 Budgeted Appropriation to (from) Fund Balance ($133,423) 9/30/10 Budgeted Ending Fund Balance $273,205 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR ($10,827) Decrease transfer to General - insurance premium less than budget $2,454 MYA Insurance proceeds - Vertex Settlement $12,500 MYA Landscape Beautification Expenditures using proceeds ($12,500) MYA Revisions to Original Budgeted Fund Balance ($8,373) REVISED 9/30/10 Budgeted Ending Fund Balance $264,832 11.15.10_COMM_Consent 203 Attachment_2 Attachment 2 Budget Amendment Summary (Resolution 2010 -39) 11/15/10; Consent 203 Difference in Beg Actual Beg Fund Fund Balance from Balance from Other Governmental Funds Projected to Actual 9/30/09 CAFR Oak Forest Maintenance Fund #191 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $25,859 $5,811 $31,670 FY '10 Budgeted Appropriation to (from) Fund Balance ($362) 9/30/10 Budgeted Ending Fund Balance $25,497 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $5,811 Decrease transfer to General - insurance premium less than budget $611 MYA Revisions to Original Budgeted Fund Balance $6,422 9/30/10 Budgeted Ending Fund Balance $31,919 k�'yh ...s. ,:..�.m.�.w.e�..• war- �. 8� :. ' .. ':.t14:�..�.z,'``�1s„»,s:� •. ,w�; .�' .,. ;:. N�. ....w pi ..�k.•. _ .. _ ... .�! � ,,, �., �.s.�,�a"w.:za..<. .. ..R,,, ..............�nx, ... ...... Oak Forest Maintenance Fund #192 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $3,503 $3,299 $6,802 FY '10 Budgeted Appropriation to (from) Fund Balance $1,005 9/30/10 Budgeted Ending Fund Balance $4,508 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $3,299 Rollover of PO 93316 for PFM Arbitrage Services ($2,500) MYA Revisions to Original Budgeted Fund Balance $799 REVISED 9/30/10 Budgeted Ending Fund Balance $5,307 15 1 M;, &• , >. •J:. n3e. MAyvq3MEhr.11.�aia�'iri�'i. �ii3x��.., �.w.:•e.•�.� .. .. ...._.__...._. ,. T1 2004 Capital Project Debt Service Fund #230 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $7,720 ($404) $7,316 FY '10 Budgeted Appropriation to (from) Fund Balance ($7,500) Budgeted Ending Fund Balance $220 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR ($404) Reduce interest expense - draw for Senior Center was repaid sooner than anticipated $200 MYA Revisions to Original Budgeted Fund Balance ($204) REVISED 9/30/10 Budgeted Ending Fund Balance $16 11.15.1 0 COMM Consent 203 Attachment 2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) 11/15/10; Consent 203 Difference in Beg Actual Beg Fund Fund Balance from Balance from Other Governmental Funds Projected to Actual 9/30/09 CAFR 1999 Construction Capital Project Fund #305 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $897,367 $2,008 $899,375 FY '10 Budgeted Appropriation to (from) Fund Balance ($897,275)1, 9/30/10 Budgeted Ending Fund Balance $92 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $2,008 Reduce expenditures - CJP Magnolia Park $11,000 MYA Revisions to Original Budgeted Fund Balance $13,008;;; REVISED 9/30/10 Budgeted Ending Fund Balance $13,100 g ;£° x 5 4zsf; m.°a TRtlS x y Z vim+ IMsg tWE ei W Utility /Public Works Facility Capital Project Fund #311 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $935,945 ($502) $935,443 FY '10 Budgeted Appropriation to (from) Fund Balance '.($935,500);! 9/30/10 Budgeted Ending Fund Balance $445 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR ($502) Reduce expenditure budget for Utility/PW Facility $58 MYA Revisions to Original Budgeted Fund Balance ($444) 9/30/10 Budgeted Ending Fund Balance $1 11.15.10_COMM_Consent 203_Attachment_2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) 11/15/10; Consent 203 Enterprise Funds Difference in Actual Ending Capital Assets Beg Fund Bal Fund Balance as (Note - As enterprise funds, the following 'fund balances' are technically not their fund balances but rather a (net of related from projected shown in the projection of their year -end net assets Tess net capital.) debt) to actual 9/30/09 CAFR Water and Sewer Utility Fund - Operating ( #3600): As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance S4,273,821 $9,345,083 ($85,864) $13,533,040 FY '10 Budgeted Appropriation to (from) Fund Balance ($1,586,472) 9/30/10 Budgeted Ending Fund Balance $2,687,349 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR ($85,864) Traffic Accident Insurance Proceeds $2,475 MYA Traffic Accident expenditure budget (rev neutral) ($2,475) MYA Revisions to Original Budgeted Fund Balance ($85,864)' REVISED 9/30/10 Budgeted Ending Fund Balance (exclusive of net capital) $2,601,485 Water and Sewer Utility Fund - Revenue Generation ( #3620): As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $25,402 $11,802 $37,204 FY '10 Budgeted Appropriation to (from) Fund Balance ($25,402) 9/30/10 Budgeted Ending Fund Balance $0 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $11,802 Fully Appropriate Fund Balance in anticipation of closing Revenue Generation ( #3620) in FY 2010 ($11,802) MYA Revisions to Original Budgeted Fund Balance $0 REVISED 9/30/10 Budgeted Ending Fund Balance $ Water and Sewer Utility Fund - 2000 Construction ( #3640): As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $300,643 $75,924 5376,567 FY '10 Budgeted Appropriation to (from) Fund Balance (5297,043) 9/30/10 Budgeted Ending Fund Balance $3,600 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $75,924 PO Rollover #90921 ($77,000) MYA FY '06 Revised Budgeted Appropriation to (from) Fund Balance ($1,076) REVISED 9/30/10 Budgeted Ending Fund Balance _ 52,524 Water and Sewer - Service Availability ( #402): As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance 50 $0 50 FY '10 Budgeted Appropriation to (from) Fund Balance 550,190 9/30/10 Budgeted Ending Fund Balance 550,190 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $0 Eliminate Residential Service Availability Fee Budget ($10,000) FYA Eliminate Commercial Service Availability Fee Budget ($40,000) FYA Remove investment eamings budget ($190) FYA FY '06 Revised Budgeted Appropriation to (from) Fund Balance (550,190) REVISED 9/30/10 Budgeted Ending Fund Balance $ Not requiring amendment: Water and Sewer - Renewal & Replacement ( #3610) 5686,812 Total Water & Sewer "Fund Balance" (ties to CAFR) • $14,633,623 11.15.1 0 COMM Consent 203_Attachment_2 Attachment 2 - Budget Amendment Summary (Resolution 2010 -39) 11/15/10; Consent 203 Enterprise Funds Difference in Actual Ending Capital Assets Beg Fund Bal Fund Balance as (Note - As enterprise funds, the following fund balances' are technically not their fund balances but rather a (net of related from projected shown in the projection of their year -end net assets less net capital.) debt) to actual 9/30/09 CAFR Development Services Fund #420 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance (566,477) $8,375 ($855) (558,957) FY '10 Budgeted Appropriation to (from) Fund Balance (5468,324) 9/30/10 Budgeted Ending Fund Balance ($g� 34501 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR (5855) Reductions in Transfers to General Fund per 2010 revised cost allocation study 5225,206 MYA Reductions in Transfer from General Fund per 2010 revised cost allocation study ($25,653) MYA Decrease Plans Review revenue budget ($50,000) FYA Decrease Building Permit revenue budget ($80,000) FYA Increase Mechanical Permit revenue budget $25,000 FYA Revisions to Original Budgeted Fund Balance 593,698 REVISED 9/30/10 Budgeted Ending Fund Balance (exclusive of net capital) ($441,103) Stormwater Utility Fund #430 As approved by City Commission on 9/28/09 Public Hearing Item 501: 10/1/09 Budgeted Beginning Fund Balance $615,065 $3,685,383 $81,214 $4,381,662 FY '10 Budgeted Appropriation to (from) Fund Balance (5213,590) 9/30/10 Budgeted Ending Fund Balance 5401,475 Amendments to be approved tonight to Original FY 2009 -2010 Budget (as approved on 9/28/09): Difference in Beginning Fund Balance from projected to actual as shown in 9/30/09 CAFR $81,214 SJRWMD grant revenue budget - Solary Canal Regional Stormwater Treatment Area $1,612,313 MYA SJRWMD grant expenditure budget - Solary Canal Regional Stormwater Treatment Area ($1,612,313) MYA Contributed capital - revenue budget $1,820,000 FYA Capitalization of contributed capital - expenditure budget ($1,820,000) FYA Revisions to Original Budgeted Fund Balance $81,214 REVISED 9/30/10 Budgeted Ending Fund Balance (exclusive of net capital) $482,689 11.15.10_COMM_Consent 203_Attachment_2 Attachment 3 - General Fund Budget Amendment Recap (Resolution 2010 -39) 11/15/10; Consent 203 FY 10 Commission Other FY 10 Original Approved Revenue Requests Amended Annual Intra - departmental Inter - departmental Amendments to PO Neutral to Amend Annual e 't # Midget r aps ers Transfers Appropriation ollovers hap es Appropriation Budget General Fund Revenues & Transfers $ 15,977,628 S 15,977,628 17/92 CRA - Shepard Road Streetscape Project - Revenues S 11,271 $ 11,271 July 4th event - Revenue budget S 10,917 S 6,047 $ 16,964 Scottish Highland Games event - Revenue budget $ 894 $ 894 10.01.09 Invoice 1 - Education Incentive Reimbursement S 1,375 $ 1,375 Reduce transfer from Fire Assessment Fund S (68,683) 5 (68,683) Misc. Revenue - proceeds police car sold for salvage S 580 $ 580 True up of 'transfers in' for actual insurance premium costs (Oak Forest/TLBD) 5 (3,065) $ (3,065) Reduction to Transfers from Development Services per 2010 GSG cost allocation study S (225,206) $ (225,206) Byrne Grant revenue - Citizens on Patrol S 5,292 $ 5,292 Art Festival - Revenues budget S 328 $ 328 True up of 'transfers in' from PCST Fund S 400,000 $ 400,000 True up of 'transfers in' from EFF Fund $ 300,000 S 300,000 Insurance Settlements $ 27,382 $ 27,382 Byrne Grant revenue - Overtime Reimbursement $ 17,919 $ 17,919 Donation for Banners $ 200 S 200 Transfers from funds 103, 108 for vehicle purchase $ 37,352 S 37,352 General Fund Revenues & Transfers $ 15,977,628 $ - $ - $ 10,917 $ - $ 104,200 $ 407,486 S 16,500,231 General Fund Expenditures City Commission 1100 $ 112,750 $ 1,000 $ 113,750 Various Boards 1110 S 7,770 $ 7,770 City Manager 1200 $ 292,826 $ (9,001) $ 283,825 City Clerk 1210 $ 227,455 $ 227,455 General Government - Legal Services 1220 S 241,000 $ 241,000 Finance 1300 $ 580,096 $ 20,000 S 600,096 General Service - Human Resources 1310 $ 99,156 $ 99,156 General Service - Purchasing 1330 $ 68,081 $ (12,000) 5 56,081 Information Systems - General 1340 S 557,180 S (104) $ 500 $ 557,576 Information Systems - Special Projects 1341 $ 164,953 $ 104 $ 165,057 Information Systems - Records Mgmt 1342 $ 138,805 $ 20,000 $ 158,805 Information Systems - KIVA/GIS 1343 $ 168,791 S 168,791 Finance - Utility Billing 1360 $ 689,373 $ 8,310 $ 697,683 Comm Development - Administration 1510 $ 229,847 $ 2,675 $ (25,653) $ 206,869 Comm Development - Planning 1515 $ 109,303 5 109,303 Comm Development - Development Review 1520 S 100,626 S 100,626 Comm Development - Urban Beautification 1525 S 793,680 S (950) S 17,209 S 809,939 Comm Development - Streetlighting 1526 S 441,750 $ 950 $ 442,700 General Government- General 1900 $ 334,705 $ (128,998) 5 12,524 $ 10,000 $ 228,231 General Service - City Hall 1910 $ 179,954 $ (24,500) $ 155,454 General Service - City Hall Operator 1915 $ 40,362 S 40,362 General Service - Risk Management 1920 S 337,000 $ 36,500 $ (3,065) S 370,435 Police - Chief 2110 $ 239,537 $ (9,306) $ 1,999 $ 232,230 Police - Criminal Investigations 2113 S 835,376 $ 1,440 $ 195,000 $ 16,934 $ - $ 1,048,750 Police - Operations Support 2114 S 269,046 $ 389 $ 6,654 $ 276,089 11.15.10_COMM_Consent 203_Attachment_3 Attachment 3 - General Fund Budget Amendment Recap (Resolution 2010 -39) 11/15/10; Consent 203 FY IO Commission Other FY IO Original Approved Revenue Requests Amended Annual Intra- departmental Inter- departmental Amendments to PO Neutral to Amend Annual Dept 0 Budget Trans ers Transfers Appropriation Rollovers Changes Appropriation Budget Police - Operations 2115 $ 3,015,427 $ (29,094) $ 3,900 $ 1,520 $ 71,930 $ 3,063,683 Police - information Services 2116 $ 1,237,943 $ 8,074 $ 1,246,017 Police - Tech Services 2117 $ 399,477 $ 851 $ 400,328 Police - Code Enforcement 2118 $ 454,604 $ (3,202) $ 772 $ 452,174 Police- Motorcycle 2119 $ 310,338 $ 32,511 $ 95 $ 342,944 Police - Canine 2120 $ 138,920 $ 1,300 $ 1,032 $ 141,252 Police - Professional Standards 2121 $ 267,622 $ (2,963) $ 264,659 Public Works - Administration 4410 $ 181,995 S 1,100 $ 5,000 $ 188,095 Public Works - Roads & ROW 4412 $ 667,378 $ (1,100) $ 600 $ 125 $ 2,382 $ 669,385 Public Works- Fleet 4413 $ 198,844 $ 198,844 Public Works - Facilities 4414 $ 67,524 $ 125 $ 67,649 Public Works - Capital Projects 4415 S 79,985 $ (30,000) $ 49,985 P &R - Administration 7200 S 185,088 $ 4,430 $ 800 $ 190,318 P &R - Athletics 7210 $ 212,137 $ 212,137 P &R - Athletics League 7211 S 51,000 $ 51,000 P &R - Athletics Partnerships 7212 S 36,200 $ 36,200 P &R - Parks & Grounds 7230 $ 1,068,119 $ (37,614) $ (30,000) $ 1,400 S 1,095 $ 1,144 $ 1,004,144 P &R - Programs 7240 $ 187,272 $ 25,000 $ 212,272 P &R - Seniors 7250 S 190,274 $ 6,989 $ 197,263 P &R - Senior Center Pool 7251 $ 729,177 $ 1,000 $ 730,177 P &R - Community Events 7260 $ 17,500 $ (1,500) $ 12,437 $ 7,680 $ 6,047 $ 42,164 P &R - Hound Ground 7270 $ 120,383 $ 1,695 $ 122,078 P &R - Splash Playgrounds 7280 $ 63,272 $ 63,272 General Fund Expenditures S 17,139,901 $ (0) $ - $ 39,036 $ 86,589 $ 104,200 $ (25,653) $ 17,344,073 Budgeted Approp to (from) Fund Balance S (1,162,273) $ 0 $ - $ (28,119) S (86,589) $ - $ 433,139 S (843,842) 11.15.10_COMM_Consent 203_Attachment_3