HomeMy WebLinkAbout1999 02 08 Regular Item B
COMMISSION AGENDA
ITEM B
Consent
Informational
Public Hearing
Regular X
February 8.1999
Meeting
MGR ~EPT
Authorization
REQUEST: City Manager requesting the Commission to review an
unaudited FY 98 general fund report and provide direction it deems
appropriate.
PURPOSE: This agenda item is needed to update the Commission on fund
balances in the General Fund in order for the Commission to give the City
Manager direction relative to additional spending.
CONSIDERATION:
The City Commission desired to spend an additional $30,000 to stripe
certain streets for bike lanes.
The City Manager requested that this matter be placed on hold until better
information was available on year end fund balance.
Following are key points relative to the fund based upon the unaudited
year end report.
1. Commission appropriated $9,479,187 in the original budget.
2. During the year the Commission appropriated an additional
$462,500. Some $45,000 in prior year approved but unspent
appropriations were rolled over into the FY 98 budget for a total
of $9,986,687 in approved appropriations.
3. Estimated revenues were $9,002,167 requiring $477,020 in
appropriation from fund balance to balance the budget.
4. Actual revenues were $9,282,567 requiring $432,323 from fund
balance to balance the budget.
5. The projected FY 98 budget fund balance was $2,616,971.
6. The actual FY 98 fund balance was $2,661,668 or $44,697
greater than that projected in the budget.
7. FY 98 revenue from advalorem taxes and State Sales Taxes
were notably below budget estimates. FY 99 projections for
these revenues appear to be reasonable.
8. FY 98 revenues from Cable Franchise Fees, and Building
Permits were notably higher than budget estimates.
9. Transfer from Public Service Taxes were notably higher than
projected.
10. Overall projected FY99 revenue and transfers appear on
balance to be reasonable. However, we should not expect to
see actual revenues exceed FY 99 budget estimates as in prior
years.
In summary, we ended FY 98 with a fund balance slightly over that
budgeted. Projected revenues, expenditures, and fund balances
appear to be on target for FY 99. In FY 99 we should not expect
overall revenues to be higher than those projected, as has occurred
in previous years. Therefore, we should expect that additional
appropriations that may be approved during the year will not be
absorbed by excess revenues. Stated another way, additional
appropriations are likely to result in reduced fund balances.
RECOMMENDATION:
It is recommended that the Commission review the budget report
and provide direction it deems appropriate.
ATTACHMENTS:
A. Unaudited year end and general fund budget statements.
B. Appropriations approved during FY 98 budget year.
COMMISSION ACTION:
CITY OF WINTER SPRINGS
FISCAL YEAR 1998-1999 - FINAL BUDGET
GENERAL FUND REVENUES RECAP
SEPTEMBER 28,1998
Adopted FY 98/99
FY 97/98 FY 97/98 Department
DESCRIPTION OF REVENUES Budget Actual Request
GENERAL FUND:
Ad Valorem Tax Revenue $3,079,058 $2,965,789 $3,136,990
Special Assessments $0 $25,000 $0
Franchise Fee - Telephone $26,172 $53,313 $38,000
Franchise Fee - Gas $29,678 $26,669 $28,000
Franchise Fee - Cablevision $165,373 $182,972 $200,000
County Impact Fees $0 $25,011 $34,000
Occupational Licenses $95,475 $115,259 $98,000
Permits - Building $396,149 $472,602 $500,000
Permits - Electrical $2,729 $8,158 $2,000
Permits - Plumbing $7,817 $8,733 $8,000
Permits - Mechanical $3,103 $4,730 $4,000
Permits - Arbor $2,014 $2,675 $3,000
Federal Grant - Police Dept. $0 $20,943 $0
State of Fla.-Cigarette Tax $83,930 $81,843 $85,000
State of Fla.-State Revenue Sharing $593,883 $601,325 $596,000
State of Fla.-Mobile Home Tax $8,500 $8,830 $8,500
State of Fla.-Half Cent Sales Tax $1,668,120 $1,611,623 $1,735,000
State of Fla.-Alcoholic Beverage Tax $4,200 $2,162 $4,000
State of Fla.-Dept. of Transportation $18,000 $4,375 $18,000
Civic Center Rental $7,810 $10,509 $8,000
League FeelField Rental $5,600 $17,670 $8,000
Concession Stand - C.w.P. $97,025 $69,892 $70,000
Medical Transport Service $0 $0 $0
Zoning & Annexations $1,500 $4,710 $3,500
Recording & Copy Fees $4,500 $3,586 $3,000
Fines & Forfeitures $198,324 $170,325 $190,000
Fixed Pole Fees $0 $0 $10,000
Interest Earned $150,291 $154,543 $193,000
Miscellaneous Revenues $50,000 $143,930 $75,000
Motor Fuel Tax Rebate $3,500 $7,687 $3,705
COPS Grant $0 $41,034 $215,808
Dept. of Comm. Affairs (EAR) $0 $14,069 $0
Transfer from Public Service Tax Fund $1,023,627 $1,147,300 $1,057,444
Transfer from Electric Franchise Fee Fund $562,389 $558,400 $608,209
Transfer from Interim Services Fee Fund $25,000 $25,000 $32,074
Transfer from Stormwater $0 $3,500 $0
Transfer from SolidwastelRecycling $98,400 $98,400 $98,000
Transfer from Capital Improvements Fund $0 $0 $0
Reimbursement for Trailhead Restrooms $0 $0 $50,000
Reimbursement for Beautification District $0 $0 $75,000
Reimbursement for Town Center Expenses $0 $0 $288,000
Reimbursement from Water & Sewer $590,000 $590,000 $640,000
Capital Note Proceeds $0 $0 $0
GENERAL FUND REVENUES $9,002,167 $9,282,567 $10,127,230
APPROPRIATION FROM FROM BALANCE $477,020 $432,323 ($0)
TOTAL GENERAL FUND REVENUES AND
APPROPRIATION FROM FUND BALANCE $9,479,187 $9,714,890 $10,127,230
CITY OF WINTER SPRINGS - GOVERNMENTAL FUNDS
FISCAL YEAR 1998-1999 . FINAL BUDGET
DEPARTMENTAL EXPENDITURE RECAP
SEPTEMBER 28,1998
Adopted Authorized FY 97 Additional Amended FY 98/99
DEPARTMENT FY 97/98 Expended FY 98 Approved FY 9798 FY 97/98 Department
~ DEPARTMENT OR FUND Budget Appropriations Appropriations Actual Request
GENERAL FUND:
1100 Commission $63.269 $20,000 $83,269 $76,378 $86,647
1110 Boards $11,200 $11,200 $6,650 $10,700
1200 City Manager $197,344 $197,344 $194,034 $222,347
1210 City Clerk $313,999 $75,000 $388,999 $318,435 $295,857
1300 Finance Department $316,889 $316,889 $323,495 $368,282
1310 Human Resources Department $59,614 $59,614 $61,350 $62,871
1330 Purchasing Department $192,671 $192,671 $229,684 $210,257
1340 Information Systems $0 $0 $0 $329,151
1360 Utility Finance Department $428,223 $428,223 $450,884 $404,433
1500 Engineering Department $111,348 $111,348 $106,616 $100,255
1510 Community Development Department $201,919 $30,000 $231,919 $235,445 $287,369
1520 Land Management Department $61,806 $61 ,806 $55,364 $67,311
1900 General Govemment $162,500 $25,000 $195,500 $383,000 $335,996 $266,500
2110 Police Department $2,627,952 $2,627,952 $2,801,874 $2,609,136
2111 Police - COPS Grant $0 $162,000 $162,000 $0 $317,085
2210 Fire Department $1,940,957 $1,940,957 $1,905,759 $2,000,634
2400 Building Department $279,448 $279,448 $264,517 $286,708
2500 Code Enforcement Department $63,456 $63,456 $79,240 $144,728
4410 Public Works Department $1,207,144 $1,207,144 $1,183,235 $1,347,851
7200 Parks and Recreation Department $1,239,448 $1,239,448 $1,085,935 $1,038,259
Less Information Services Allocation $0 $0 $0 ($329,151)
TOTAL GENERAL FUND EXPENDITURES $9,479,187 $45,000 $462,500 $9,986,687 $9,714,890 $10,127,230
APPROPRIATION TO FUND BALANCE $0 $0 $0 $0 $0 $0
TOTAL GENERAL FUND EXPENDITURES AND
APPROPRIATION TO FUND BALANCE $9,479,187 $45,000 $462,500 $9,986,687 $9,714,890 $10,127,230
CHANGE IN FUND BALANCE. GENERAL FUND
FUND BALANCE. October 1, $3,093,991 $3,093,991 $3,093,991 $2,855,745
Appropriations to (From) Fund Balance ($477,020) ($984,520) ($432,323) $0
FUND BALANCE - September 30, $2,616,971 $2,109,471 $2,661,668 $2,855,745
Adopted Revised
Budget Budget Actual Difference
Revenues $9,002,167 $9,002,167 $9,282,567 $280,400
Expenditures $9,479,187 $9,986,687 $9,714,890 ($271,797)
Appropriation from Fund Balance $477,020 $984,520 $432,323 ($552,197)
CITY OF WINTER SPRINGS
SUMMARY OF DEPARTMENTAL SPENDING
FY ENDED SEPTEMBER 30,1998
DEPARTMENT:
DESCRIPTION OF CIRCUMSTANCES:
ADDITIONAL
APPROPRIATIONS AUTHORIZED
OVERBUDGET FROM COMMISSION FY 96-97
Commission FY 98 charged with $16,550 for audio/visual
system previously budgeted for FY97.
$13,109
$20,000
City Clerk Personal Services is overbudget $5,200 due
to overtime paid and not budgeted.
Other Legal Services is over budget due to
expenditures for legal services for
Holland and Knight ($10,994).
Special Legal Services was not included in
FY97 -98 adopted budget but Commission
authorized expenses not to exceed $50,000.
$4,436
$25,000
$50,000
Finance Consultant Services is over budget $3,315 due to
expenditures resulting from state requirements
in connection with telecommunications liquidation.
Telephone Services is over budget $10,500
because of new phone lines and repairs to the old
system before being replaced.
AmUi fee was paid in FY 98 which would have
normally been paid in FY99.
$6,606
Personnel Consultant Services for pay study was not budgeted
in FY98 ($3,500).
$1,736
Purchasing General Insurance is over budget due to claims
paid with $25,000 deductible totalling $14,800 and
increased premiums of $17,600.
$37,013
CITY OF WINTER SPRINGS
SUMMARY OF DEPARTMENTAL SPENDING
FY ENDED SEPTEMBER 30, 1998
DEPARTMENT: DESCRIPTION OF CIRCUMSTANCES:
ADDITIONAL
APPROPRIATIONS AUTHORIZED
OVERBUDGET FROM COMMISSION FY 96-97
Finance/UB Consultant Services is over budget $4,800 due to
payment of first bill for FY99 early and
additional costs incurred to produce the CAFR
and obtain the Certificate of Achievement for
Excellence in Financial Reporting.
$22,661
Repair and Maintenance-Equipment is over
budget due to charges for Utility Billing conversion
of $26,500 and $5,300 in repairs to equipment
not budgeted.
Printing Expense is over budget due to timing of
orders for envelopes and utility bills of $3,252.
Community
Development
Consulting Services for Town Center to:
Wadley and Associates
Breedlove, Dennis
Pardue, Heide
Michael Designs
$33,526
$30,000
Heniger and Ray for EAR Report - $19,321.
***Received $14,069 in reimbursement from SOF***
Transportation Consulting Co.purchase order $4,127
Classified Advertising is over budget because of
additional advertising on Town Center meetings.
CITY OF WINTER SPRINGS
SUMMARY OF DEPARTMENTAL SPENDING
FY ENDED SEPTEMBER 30, 1998
DEPARTMENT:
DESCRIPTION OF CIRCUMSTANCES:
ADDITIONAL
APPROPRIATIONS AUTHORIZED
OVERBUDGET FROM COMMISSION FY 96-97
General Dover, Kohl approved purchase orders for Town Center
Government Other related costs to Dover, Kohl.
$173,496
$165,500
Tuskawilla Beautification
$30,000
Gym Equipment for new Public Safety Building
$25,000
New Chairs for Commission Dais.
Police Telephone Services is over budget due to $173,922
Department increase cost of installing new Essex lines in
new Public Safety Building.
Additional cost of Grant Officers $61,000
Vehicles for new Grant Officers $101,000
Additional Computer Equipment
Additional Computer Support - with the addition
of new computers as well as the network, there
were additional demands on IS Department's time.
Code Salaries are over budget by $8,500 $15,784
Enforcement Computer Support is over by $6,100
Other Equipment is over by $2,675
$482,289 $462,500 $45,000