HomeMy WebLinkAbout2023 08 28 Consent 300 - FY 2022-2023 Mid-Year Budget AmendmentCONSENT AGENDA ITEM 300
CITY COMMISSION AGENDA | AUGUST 28, 2023 REGULAR MEETING
TITLE
FY 2022-2023 Mid-Year Budget Amendment
SUMMARY
The City Manager is requesting that the City Commission consider approval of Resolution
2023-21amending the Fiscal Year 2022-2023 Budget.
The City Charter provides the Commission may amend the budget by resolution. Only those
funds requiring budget adjustment are included therein. The agenda item is needed to
amend the budget for those funds which vary from the originally adopted budget. The
amendment represents activity through July 31, 2023. A final budget amendment for the
fiscal year is anticipated in November.
The majority of the amendments are necessary for one of the following reasons:
accrual of revenues and expenses in the appropriate fiscal year.
variations between budgeted (estimated) and actual revenues and expenditures.
unanticipated agenda items with a fiscal / budget impact.
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 are earned or incurred, respectfully. In many areas, it is typical for
some variances between budgeted figures and actual results. Furthermore, over the course
of a fiscal year, various agenda items approved by the Commission may lack specific
language to amend the expenditure budget or the appropriation to/from fund balance. This
resolution formalizes the fiscal impact of those actions.
Shown in Attachment 1 and 2 of the Resolution are the budgeted ending fund balances for
all funds requiring amendment for the 2022-2023 fiscal year. Please note these are
budgeted figures only. Audited financial statements which depict the official year-end
balances will be available upon the conclusion of the FY 2022-2023 annual audit, which is
scheduled to be presented in March of 2024.
FUNDING SOURCE
N/A
RECOMMENDATION
Staff recommends the City Commission approve Resolution 2022-21 amending the FY 2022-
2023 budget.
30
City of Winter Springs, Florida
Resolution 2023-21
Page 1 of 2
RESOLUTION 2023-21
A RESOLUTION OF THE CITY COMMISSION OF THE CITY OF
WINTER SPRINGS FLORIDA, AMENDING THE FISCAL YEAR
2022-2023 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 2022-2023 City Budgets are amended as provided in
Attachments 1 and 2 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 28th day of August, 2023.
ATTEST:
__________________________________________
KEVIN McCANN, Mayor
31
City of Winter Springs, Florida
Resolution 2023-21
Page 2 of 2
_____________________________________
CHRISTIAN GOWAN, City Clerk
Approved as to legal form and sufficiency for
the City of Winter Springs only:
_____________________________________
ANTHONY A. GARGANESE, City Attorney
32
Attachment 1 - Budget Amendment Detail
Resolution 2023-21
General Fund
Funds not included in this summary do not require a budget amendment
Difference in Beg
Fund Bal
Projected to
Actual
Actual Beg Fund
Balance
UNAUDITED
General Fund #001:
As approved by City Commission on 9/26/22 Public Hearing Item 401:
10/1/22 Budgeted Beginning Fund Balance $9,042,979 $508,192 $9,551,171
FY 2023 Budgeted Appropriation TO (FROM ) Fund Balance $27,401
9/30/23 Budgeted Ending Fund Balance $9,070,380
Amendments to be approved tonight to Original FY 2022-2023 Budget (as approved on 09/26/22):
Difference in Beginning Fund Balance FROM projected to actual as shown in 9/30/22 Year-End Financials $508,192
Commission Approved:
Consent 304; 11.14.22 - Supplemental Appropriation for police vehicles (2100)($500,000)mid-yr
($500,000)
Revenue Neutral:
Grants/Donations:
Insurance Proceeds - Florida League - damage to Ford Explorer $4,355
Increase R&M budget - damage to Ford Explorer (2100)($4,355)
$0
Community Events:
Recognize revenue budget - Winter Wonderland $12,650 mid-yr
Establish expenditure budget - Winter Wonderland (7415)($12,650)mid-yr
Recognize revenue budget - Hometown Harvest $9,820 mid-yr
Establish expenditure budget - Hometown Harvest (7415)($9,820)mid-yr
Recognize revenue budget - Celebration of Freedom $34,964 mid-yr
Establish expenditure budget - Celebration of Freedom (7415)($34,964)mid-yr
Recognize revenue budget - May Food Truck Event $1,350 mid-yr
Establish expenditure budget - May Food Truck Event (7415)($1,350)mid-yr
Recognize revenue budget - Spring Festival $2,538 mid-yr
Establish expenditure budget - Spring Festival (7415)($2,538)mid-yr
Recognize revenue budget - August Food Truck Event $1,400 mid-yr
Establish expenditure budget - August Food Truck Event (7415)($1,400)mid-yr
$0
Other:
Increase Consulting for FEMA application support; Carlisle Thompson (4100)($15,000)mid-yr
Increase Revenue in several accounts to align with current trend analysis $1,440,000 mid-yr
Eliminate Street Lighting Revenue (4100)($36,380)mid-yr
$1,388,620
Revisions to Original Budgeted Appropriation TO (FROM ) Fund Balance $888,620
REVISED 9/30/23 Budgeted Ending Fund Balance $10,467,192
HELPFUL TOOLS: Fiscal Year 2022-2023 Original Budget as approved by City Commission on 9/26/22 Public Hearing 401.
FY 23 Mid-Year Budget Amendment
Attachment 1
33
Attachment 1 - Budget Amendment Detail
Resolution 2023-21
Other Governmental Funds
Difference in Beg
Fund Bal
Projected to
Actual
Actual Beg Fund
Balance
UNAUDITED
Special Law Enforcement Fund - Federal #103
As approved by City Commission on 9/26/22 Public Hearing 401
10/1/22 Budgeted Beginning Fund Balance $8,095 $7,151 $15,246
FY 2023 Budgeted Appropriation TO (FROM) Fund Balance ($7,110)
9/30/23 Budgeted Ending Fund Balance $985
Amendments to be approved tonight to Original FY 2022-2023 Budget (as approved on 9/26/22):
Difference in Beginning Fund Balance FROM projected to actual as shown in 9/30/22 Year-End Financials $7,151
Increase FY23 Fines and Forfeitures $123,047 mid-yr
Revisions to Original Budgeted Appropriation TO (FROM) Fund Balance $130,198
REVISED 9/30/23 Budgeted Ending Fund Balance $131,183
Transportation Improvement Fund #120
As approved by City Commission on 9/26/22 Public Hearing 401
10/1/22 Budgeted Beginning Fund Balance $1,166,153 $2,823,994 $3,990,147
FY 2023 Budgeted Appropriation TO (FROM) Fund Balance ($681,103)
9/30/23 Budgeted Ending Fund Balance $485,050
Amendments to be approved tonight to Original FY 2022-2023 Budget (as approved on 9/26/22):
Difference in Beginning Fund Balance FROM projected to actual as shown in 9/30/22 Year-End Financials $2,823,994
Defer Winding Hollow deceleration lane to FY24 $532,500 mid-yr
Revisions to Original Budgeted Appropriation TO (FROM) Fund Balance $3,356,494
REVISED 9/30/23 Budgeted Ending Fund Balance $3,841,544
Road Improvement (Infrastructure Surtax)Fund #121
As approved by City Commission on 9/26/22 Public Hearing 401
10/1/22 Budgeted Beginning Fund Balance $6,397,524 $3,358,946 $9,756,470
FY 2023 Budgeted Appropriation TO (FROM) Fund Balance ($3,211)
9/30/23 Budgeted Ending Fund Balance $6,394,313
Amendments to be approved tonight to Original FY 2022-2023 Budget (as approved on 9/26/22):
Difference in Beginning Fund Balance FROM projected to actual as shown in 9/30/22 Year-End Financials $3,358,946
Increase CIP budget - street resurfacing to deplete 2nd Generation residual equity ($45,419)mid-yr
Regular 501 - 2/27/23 increase street resurfacing budget ($500,000)mid-yr
Increase CIP budget - emergency road repairs related to Hurricane Ian ($984,000)mid-yr
Revisions to Original Budgeted Appropriation TO (FROM) Fund Balance $1,829,527
REVISED 9/30/23 Budgeted Ending Fund Balance $8,223,840
HELPFUL TOOLS: Fiscal Year 2022-2023 Original Budget as approved by City Commission on 9/26/22 Public Hearing 401.
FY 23 Mid-Year Budget Amendment
Attachment 1
34
Attachment 1 - Budget Amendment Detail
Resolution 2023-21
Other Governmental Funds
Difference in Beg
Fund Bal
Projected to
Actual
Actual Beg Fund
Balance
UNAUDITED
HELPFUL TOOLS: Fiscal Year 2022-2023 Original Budget as approved by City Commission on 9/26/22 Public Hearing 401.
Solid Waste/Recycling Fund #130
As approved by City Commission on 9/26/22 Public Hearing 401
10/1/22 Budgeted Beginning Fund Balance $1,907,320 $1,062,378 $2,969,698
FY 2023 Budgeted Appropriation TO (FROM) Fund Balance $5,693
9/30/23 Budgeted Ending Fund Balance $1,913,013
Amendments to be approved tonight to Original FY 2022-2023 Budget (as approved on 9/26/22):
Difference in Beginning Fund Balance FROM projected to actual as shown in 9/30/22 Year-End Financials $1,062,378
Increase emergency recovery budget for Hurricane Ian debris cleanup ($600,000)mid-yr
Increase consulting budget for FEMA application support (Carlisle Thompson)($10,000)mid-yr
Decrease revenue since rate increase did not materialize ($536,587)mid-yr
Revisions to Original Budgeted Appropriation TO (FROM) Fund Balance ($84,209)
REVISED 9/30/23 Budgeted Ending Fund Balance $1,828,804
Transportation Impact Fee Fund #150
As approved by City Commission on 9/26/22 Public Hearing 401
10/1/22 Budgeted Beginning Fund Balance $1,369,075 $820,891 $2,189,966
FY 2023 Budgeted Appropriation TO (FROM) Fund Balance ($949,000)
9/30/23 Budgeted Ending Fund Balance $420,075
Amendments to be approved tonight to Original FY 2022-2023 Budget (as approved on 9/26/22):
Difference in Beginning Fund Balance FROM projected to actual as shown in 9/30/22 Year-End Financials $820,891
Reduce the CIP Budget - Defer Integra to FY24 $379,000 mid-yr
Align impact fees with YTD actuals - Transportation Residential $36,000 mid-yr
Align impact fees with YTD actuals - Transportation Commercial $9,000 mid-yr
Revisions to Original Budgeted Appropriation TO (FROM) Fund Balance $1,244,891
REVISED 9/30/23 Budgeted Ending Fund Balance $1,664,966
Police Impact Fee Fund #151
As approved by City Commission on 9/26/22 Public Hearing 401
10/1/22 Budgeted Beginning Fund Balance $778,471 $11,494 $789,965
FY 2023 Budgeted Appropriation TO (FROM) Fund Balance $6,000
9/30/23 Budgeted Ending Fund Balance $784,471
Amendments to be approved tonight to Original FY 2022-2023 Budget (as approved on 9/26/22):
Difference in Beginning Fund Balance FROM projected to actual as shown in 9/30/22 Year-End Financials $11,494
Align impact fee revenue with YTD actuals - Residential $10,000 mid-yr
Revisions to Original Budgeted Appropriation TO (FROM) Fund Balance $21,494
REVISED 9/30/23 Budgeted Ending Fund Balance $805,965
FY 23 Mid-Year Budget Amendment
Attachment 1
35
Attachment 1 - Budget Amendment Detail
Resolution 2023-21
Other Governmental Funds
Difference in Beg
Fund Bal
Projected to
Actual
Actual Beg Fund
Balance
UNAUDITED
HELPFUL TOOLS: Fiscal Year 2022-2023 Original Budget as approved by City Commission on 9/26/22 Public Hearing 401.
Fire Impact Fee Fund #152
As approved by City Commission on 9/26/22 Public Hearing 401
10/1/22 Budgeted Beginning Fund Balance $2,708,903 $39,981 $2,748,884
FY 2023 Budgeted Appropriation TO (FROM) Fund Balance $25,000
9/30/23 Budgeted Ending Fund Balance $2,733,903
Amendments to be approved tonight to Original FY 2022-2023 Budget (as approved on 9/26/22):
Difference in Beginning Fund Balance FROM projected to actual as shown in 9/30/22 Year-End Financials $39,981
Align impact fee revenue with YTD actuals - Residential $6,700 mid-yr
Revisions to Original Budgeted Appropriation TO (FROM) Fund Balance $46,681
REVISED 9/30/23 Budgeted Ending Fund Balance $2,780,584
Park Impact Fee Fund #153
As approved by City Commission on 9/26/22 Public Hearing 401
10/1/22 Budgeted Beginning Fund Balance $619,158 $47,175 $666,333
FY 2023 Budgeted Appropriation TO (FROM) Fund Balance ($96,000)
9/30/23 Budgeted Ending Fund Balance $523,158
Amendments to be approved tonight to Original FY 2022-2023 Budget (as approved on 9/26/22):
Difference in Beginning Fund Balance FROM projected to actual as shown in 9/30/22 Year-End Financials $47,175
Align impact fee revenue with YTD actuals - Residential $64,000 mid-yr
Revisions to Original Budgeted Appropriation TO (FROM) Fund Balance $111,175
REVISED 9/30/23 Budgeted Ending Fund Balance $634,333
TLBD Maintenance Fund #160
As approved by City Commission on 9/26/22 Public Hearing 401
10/1/22 Budgeted Beginning Fund Balance $147,098 $38,152 $185,250
FY 2023 Budgeted Appropriation TO (FROM) Fund Balance ($101,763)
9/30/23 Budgeted Ending Fund Balance $45,335
Amendments to be approved tonight to Original FY 2022-2023 Budget (as approved on 9/26/22):
Difference in Beginning Fund Balance FROM projected to actual as shown in 9/30/22 Year-End Financials $38,152
Defer Rate Assessment groundwork to FY24 $35,000 mid-yr
Revisions to Original Budgeted Appropriation TO (FROM) Fund Balance $73,152
REVISED 9/30/23 Budgeted Ending Fund Balance $118,487
FY 23 Mid-Year Budget Amendment
Attachment 1
36
Attachment 1 - Budget Amendment Detail
Resolution 2023-21
Other Governmental Funds
Difference in Beg
Fund Bal
Projected to
Actual
Actual Beg Fund
Balance
UNAUDITED
HELPFUL TOOLS: Fiscal Year 2022-2023 Original Budget as approved by City Commission on 9/26/22 Public Hearing 401.
Sewer Plant Replacement (ARPA/SRFL) Fund #180 (Fund Established 9/13/2021 with Resolution 2021-24)
As approved by City Commission on 9/26/22 Public Hearing 401
10/1/22 Budgeted Beginning Fund Balance $18,687,851 $116,552 $18,804,403
FY 2023 Budgeted Appropriation TO (FROM) Fund Balance ($1,255,800)
9/30/23 Budgeted Ending Fund Balance $17,432,051
Amendments to be approved tonight to Original FY 2022-2023 Budget (as approved on 9/26/22):
Difference in Beginning Fund Balance FROM projected to actual as shown in 9/30/22 Year-End Financials $116,552
Defer design & cost related to East West Plants $350,000 mid-yr
Revisions to Original Budgeted Appropriation TO (FROM) Fund Balance $466,552
REVISED 9/30/22 Budgeted Ending Fund Balance $17,898,603
Revolving Rehabilitation Capital Project Fund #302
As approved by City Commission on 9/26/22 Public Hearing 401
10/1/22 Budgeted Beginning Fund Balance $1,174,894 $17,452 $1,192,346
FY 2023 Budgeted Appropriation TO (FROM) Fund Balance ($1,172,600)
9/30/23 Budgeted Ending Fund Balance $2,294
Amendments to be approved tonight to Original FY 2022-2023 Budget (as approved on 9/26/22):
Difference in Beginning Fund Balance FROM projected to actual as shown in 9/30/22 Year-End Financials $17,452
Increase Transfer In budget from Fund #303 for pickle ball court project $250,000 mid-yr
Increase CIP bdget - pickle ball court project ($250,000)mid-yr
Revisions to Original Budgeted Appropriation TO (FROM) Fund Balance $17,452
REVISED 9/30/23 Budgeted Ending Fund Balance $19,746
Perk Up Parks Capital Project Fund #303
As approved by City Commission on 9/26/22 Public Hearing 401
10/1/22 Budgeted Beginning Fund Balance $2,967,349 $1,187,759 $4,155,108
FY 2023 Budgeted Appropriation TO (FROM) Fund Balance ($844,500)
9/30/23 Budgeted Ending Fund Balance $2,122,849
Amendments to be approved tonight to Original FY 2022-2023 Budget (as approved on 9/26/22):
Difference in Beginning Fund Balance FROM projected to actual as shown in 9/30/22 Year-End Financials $1,187,759
Increase per Consent Agenda Item 305 12/12/22 pickleball court project ($647,522)mid-yr
Increase per Regular Agenda Item 500 05/22/23 pickleball court project ($356,796)mid-yr
Revisions to Original Budgeted Appropriation TO (FROM) Fund Balance $183,441
REVISED 9/30/23 Budgeted Ending Fund Balance $2,306,290
FY 23 Mid-Year Budget Amendment
Attachment 1
37
Attachment 1 - Budget Amendment Detail
Resolution 2023-21
Enterprise Funds
Net Capital,
Restricted, NPL
Difference in Beg
Fund Bal -
Projected to
Actual
Actual Ending Fund
Equity 9/30/22
UNAUDITED
Water & Sewer Operating Fund #410
As approved by City Commission on 9/26/22 Public Hearing Item 401:
10/1/22 Budgeted Beginning Fund Equity $7,352,994 $21,548,739 $7,476,498 $36,378,231
FY 2023 Budgeted Appropriation TO (FROM) Fund Equity ($3,299,786)
9/30/23 Budgeted Ending Fund Equity $4,053,208 W&S Svc Avail Fund $7,496,869
ACFR combines 410,
412 $43,875,100
Amendments to be approved tonight to Original FY 2022-2023 Budget (as approved on 9/26/22):
$7,476,498
Increase Consulting for FEMA application support (Carlisle Thompson)($15,000)mid-yr
Revisions to Original Budgeted Appropriation TO (FROM) Fund Equity $7,461,498
$11,514,706
Stormwater Utility Fund #411
10/1/22 Budgeted Beginning Fund Equity $1,897,689 $7,352,392 $85,565 $9,335,646
FY 2023 Budgeted Appropriation TO (FROM) Fund Equity ($333,516)
9/30/23 Budgeted Ending Fund Equity $1,564,173
Amendments to be approved tonight to Original FY 2022-2023 Budget (as approved on 9/26/22):
$85,565
Increase CIP budget for needed repairs - pipe lining, pond restoration, drainage ($500,000)mid-yr
Increase Consulting for Pegasus Studies ($126,500)mid-yr
Increase Consulting for FEMA (Carlisle Thompson)($10,000)mid-yr
Decrease budget for CIP, Machinery & Equip., Pesticides, Payroll $287,535 mid-yr
Revisions to Original Budgeted Appropriation TO (FROM) Fund Equity ($263,400)
$1,300,773
Water and Sewer Service Availability Fund #412:
As approved by City Commission on 9/26/22 Public Hearing Item 401:
10/1/22 Budgeted Beginning Fund Equity $5,587,386 $1,909,483 $7,496,869
FY 2023 Budgeted Appropriation TO (FROM) Fund Equity ($2,766,500)
9/30/23 Budgeted Ending Fund Equity $2,820,886
Amendments to be approved tonight to Original FY 2022-2023 Budget (as approved on 9/26/22):
$1,909,483
Align Service Availability revenue budget with YTD actuals (residential) $280,000 mid-yr
Revisions to Original Budgeted Appropriation TO (FROM) Fund Equity $2,189,483
$5,010,369REVISED 9/30/23 Budgeted Ending Fund Equity (excl of net capital, restricted, NPL)
Difference in Beginning Fund Equity FROM projected to actual as shown in 9/30/22 Year-End Financials
HELPFUL TOOLS: Fiscal Year 2022-2023 Original Budget as approved by City Commission on 9/26/22 Public Hearing 401.
Difference in Beginning Fund Equity FROM projected to actual as shown in 9/30/22 Year-End Financials
REVISED 9/30/23 Budgeted Ending Fund Equity (excl of net capital, restricted, NPL)
Difference in Beginning Fund Equity FROM projected to actual as shown in 9/30/22 Year-End Financials
REVISED 9/30/23 Budgeted Ending Fund Equity (excl of net capital, restricted, NPL)
FY 23 Mid-Year Budget Amendment
Attachment 1
38
Attachment 2 - General Fund Budget Amendment Summary
Resolution 2023-21
FY 23 Commission Other FY 23
Original Approved Revenue Requests Intra Amended
Annual Amendments to Neutral to Amend Departmental Annual
Division #Budget Appropriation Changes Appropriation Transfers Budget
General Fund Revenues & Transfers:$20,107,054 $20,107,054
Recognize revenue budget - Hometown Harvest 9,820$ 9,820$
Recognize revenue budget - Winter Wonderland 12,650$ 12,650$
Recognize revenue budget - August Food Truck 1,400$ 1,400$
Recognize revenue budget - Winter Wonderland 2,538$ 2,538$
Recognize revenue budget - May Food Truck 1,350$ 1,350$
Recognize revenue budget - Celebration of Freedom 34,964$ 34,964$
Increase General Fund revenue budget (Rev Sharing, 1/2 Cent)1,440,000$ 1,440,000$
Eliminate Street Lighting Budget (36,380)$ (36,380)$
Recognize insurance proceeds - Ford Explorer 4,355$ 4,355$
General Fund Revenues & Transfers 20,107,054$ -$ 67,077$ 1,403,620$ -$ 21,577,751$
General Fund Expenditures:
City Commission 1100 123,073$ 123,073$
City Manager 1200 337,143$ 337,143$
City Clerk 1210 229,861$ 229,861$
Finance - General 1300 749,095$ (3,218)$ 745,877$
Finance - Utility Billing 1360 764,058$ 3,218$ 767,276$
Comm Development - Administration 1500 172,853$ 172,853$
Comm Development - Planning 1510 173,411$ 173,411$
Comm Development - Urban Beautification 1520 1,252,128$ 1,252,128$
Comm Development - Street lighting 1530 534,055$ 534,055$
IS & General Services - Human Resources 1315 280,039$ (4,700)$ 275,339$
IS & General Services - General 1600 1,106,123$ 8,500$ 1,114,623$
IS & General Services - City Hall 1910 18,483$ 5,500$ 23,983$
IS & General Services - Risk Management 1925 664,594$ 664,594$
IS & General Services - Facilities Maintenance 1935 441,301$ (9,300)$ 432,001$
IS & General Services - Marketing & Events 7415 206,194$ 62,722$ 268,916$
General Government - Legal Services 1400 314,020$ 314,020$
General Government - General 1900 897,225$ 897,225$
Police - Chief 2100 6,766,047$ 500,000$ 4,355$ 7,270,402$
Police - Criminal Investigations 2110 76,959$ 76,959$
Police - Community Services 2120 15,270$ 15,270$
Police - Operations 2130 260,829$ (104)$ 260,725$
Police - Support Services 2140 521,422$ 104$ 521,526$
Police - Code Enforcement 2150 100,032$ 100,032$
Fire - Operations 2200 -$ -$
Public Works - Fleet 1940 280,088$ 280,088$
Public Works - Administration 4100 135,929$ 15,000$ 150,929$
Public Works - Roads & ROW 4110 816,904$ 816,904$
P&R - Administration 7200 180,888$ 180,888$
P&R - Athletics 7220 3,804$ 3,804$
P&R - Parks & Grounds 7230 2,086,387$ 2,086,387$
P&R - Programs 7240 189,928$ (2,440)$ 187,488$
P&R - Seniors 7250 381,510$ 2,440$ 383,950$
General Fund Expenditures 20,079,653$ 500,000$ 67,077$ 15,000$ -$ 20,661,730$
Budgeted Approp TO (FROM) Fund Balance 27,401$ (500,000)$ -$ 1,388,620$ -$ 916,021$
HELPFUL TOOLS: Fiscal Year 2022-2023 Original Budget as approved by City Commission
on 9/26/22 Public Hearing 401.
FY 23 Mid-Year Budget Amendment
Attachment 2
39