HomeMy WebLinkAbout2002 05 20 Regular K Resolution 2002-18 Amending FY 02 Budget
COMMISSION AGENDA
ITEM
K
CONSENT
INFORMA TIONAL
PUBLIC HEARING
REGULAR X
~
May If, 2002
Meeting
MGR ~PT ~
A lIthori7;ltlon
REQUEST: The Finance Department Requests the City Commission Adopt Resolution No.
2002-18 Amending the FY 02 Budget.
PURPOSE: The purpose of this agenda item is to request the City Commission amend the FY
02 Budget.
CONSIDERA TIONS:
A mid-year budget review indicates the need to amend the FY 02 budget as shown in Attachment
A.
FUNDING:
None.
RECOMMENDA TION:
Adopt Resolution No. 2002-18 amending the FY 02 Budget.
ATTACHMENTS:
Resolution No. 2002-18
Attachment A - Budget Amendment
COMMISSION ACTION:
Resolution NO.2002-18
A Resolution of the City Commission of Winter Springs amending the Fiscal Year
2001/2002 budget as provided in Exhibit "A" attached hereto; providing for
severability; providing an effective date.
Whereas, the City Commission finds it necessary to amend the fiscal year
2001/2002 budget as provided herein.
Now therefore be it resolved by the City Commission as follows:
Section 1 Budget Amendment. The City of Winter Springs fiscal year 2001/2002
budget is hereby amended as provided for in Commission Agenda Item C, dated
May 13, 2002, and attached hereto as Exhibit "A" which is hereby fully
incorporated herein by this reference.
Section 2 Severability. If any section of this resolution is for any reason held
involved 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 portions of this resolution.
Section 3 Effective Date. This resolution shall become effective immediately
upon adoption by the City Commission of the City of Winter Springs, Florida.
Adopted by the City Commission of the City of Winter Springs, Florida, in a
regular meeting assembled on this 13th day of May, 2002.
Paul P. Partyka, Mayor
Attest
Andrea Lorenzo-Luaces, City Clerk
CITY OF WINTER SPRINGS
AGENDA ITEM
05/13/02
REGULAR C
BUDGET AMENDMENT
ATTACHMENT" A"
LIST OF DOCUMENTS
· EXPENSE BUDGET AMENDMENT - ALL FUNDS
· REVENUE BUDGET AMENDMENT - ALL FUNDS
· GENERAL FUND FUND BALANCE RECAP WITH PROPOSED CHANGES
· LISTING OF GENERAL FUND PROPOSED BUDGET AMENDMENTS
· GENERAL FUND AMENDED EXPENDITURE BUDGET RECAP
· GENERAL FUND AMENDED REVENUE BUDGET RECAP
RESOLUTION 2002-18
A Resolution of the City Commission of Winter Springs amending the Fiscal
Year2001/2002 budget as provided in Exhibit "A" attached hereto; providing for
severability; providing an effective date.
Whereas, the City Commission finds it necessary to amend the fiscal year
2001/2002 budget as provided herein.
Now therefore be it resolved by the City Commission as follows:
Section 1 Budget Amendment. The City of Winter Springs fiscal year 2001/2002
budget is hereby amended as provided for in Commission Agenda Item K, dated
May 20, 2002, and attached hereto as Exhibit "A" which is hereby fully
incorporated herein by this reference.
Section 2 Severability. If any section of this Resolution is for any reason held
involved 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 portions of this Resolution.
Section 3 Effective Date. This Resolution shall become effective immediately
upon adoption by the City'Commission of the 'eity of Winter Springs, Florida.
Adopted by the City Commission of the City of Winter Springs, Florida, in a
Regular Meeting assembled on this 20th day of May, 2002.
o-Luaces, City Clerk
CITY OF WINTER SPRINGS
AGENDA ITEM
OS/20/02
REGULAR K
BUDGET AMENDMENT
A TT ACHMENT "A"
LIST OF DOCUMENTS
· EXPENSE BUDGET AMENDMENT - ALL FUNDS
· REVENUE BUDGET AMENDMENT - ALL FUNDS
· GENERAL FUND FUND BALANCE RECAP WITH PROPOSED CHANGES
· LISTING OF GENERAL FUND PROPOSED BUDGET AMENDMENTS
· GENERAL FUND AMENDED EXPENDITURE BUDGET RECAP
· GENERAL FUND AMENDED REVENUE BUDGET RECAP
CITY OF WINTER SPRINGS
MID.YEAR BUDGi:T AMENDMENT
EXPENSES
Amll.w11
Account Number Account Name
D.Wl1
~
hIlll
General Fund
$ 80,000 2110-56400 Vehicles Police Dept Vehicles Commission Approved 2/11/2002
$ 28,500 1340-53180 Consulting IS Dept Florida League of Cities Proposal Commission Approved 04/22/2002
$ 28,300 ' 2210-53188 Contract Services - Tire Fire Fire Depl Contract Services - Tire Fire Commission Approved 10/08/200101/14/2002
$ 28,000 4410-55290 Mosquito Chemicals Public Wor1<s Mosquito Chemicals Commission Approved 10/0812001
$ 20,000 1900-53199 Legislative Services General Govt Dept Legislative Wor1< Commission Approved 04/02/2002
$ 14,200 1510-53180 Consulting Planning Dept Concurrency and Impact Fee Assess Commission Approved 04/0812002
$ 6,000 2400-53186 Consulting Service - Temp Serv Building Dept Contract Inspections Commission Approved 11/12/2001
$ 4,000 . 2400-53186 Consulting Service - Temp Serv Building Dept Contract Inspections Commission Approved 1/28/2002
$ 209,000
$ 150,000 1220-53111 Legal Fees Legal Services Dept Legal fees New Request for Supplemental Appropriation
$ 47,900 Various -52320 Wor1<mans Comp Various GF Depts Worl<mans Comp - Underfunded New Request for Supplemental Appropriation
$ 161,300 1900-58400 Loss Contingency General Govemment Interim Service Fee Lawsuit New Request for Supplemental Appropriation
$ 20,000 1300-53180 Consultants Finance GASB 34 Infrastructure Review New Request for Supplemental Appropriation
$ 10,000 2210-54650 R&M - Vehicle Fire Dept Unanticipated Repair Expenses New Request for Supplemental Appropriation
$ 10,000 1100-58200, Publications Commission Newsletter New Request for Supplemental Appropriation
$ 22,000 1910-54311 Utility Services City Hall Dept Utility Services New Request for Supplemental Appropriation
$ 16,000 1920-54510 General Insurance Risk Management Dept General Insurance New Request for Supplemental Appropriation
$ 16,000 2400-51210 Salaries Building Dept Salaries New Request for Supplemental Appropriation
$ 10,000 1910-54110 Telephone Expense City Hall Dept Telephone Expense New Request for Supplemental Appropriation
$ 5,000 1310-54810 Employee Relations (Recog Awards) HR Dept Employee Recognition Awards New Request for Supplemental Appropriation
$ 5,000 1910-54720 Copy Machine Supplies City Hall Dept Copy Machine Supplies New Request for Supplemental Appropriation
$ 4,000 2400-51214 Overtime Salaries Building Dept Overtime Salaries New Request for Supplemental Appropriation
$ 477 ,200
$ 12,500 1200-53180 Consulting (Balon Avid Neo Mar1<) City Manager Dept Balance on Avid Neo Geo Mar1<eting PO Rollover from FY 01
$ 3,200 ' 4410-58226 Oak Hollow Pari< Improvements Public Wor1<s Oak Hollow Improvements PO Rollover from FY 01
$ 15,700
$ 40,000 7210-54890 League and Field Rental Exp P&R-Athletics Properly Record Budget Revenue Neutral
$ 13,500 2210-56410 Other Equipment Fire Dept Record FEMA Grant Revenue Neutral
$ 10,000 2400-53181 Consulting - Technical Service Building Dept Record Centex Special Services Revenue Neutral
$ 3,200 1510-53179 Consulting - Town Center Planning Dept St of FL Reimb for Inspections Revenue Neutral
$ (138,000) 4411-56310 Reimb 434 Beautification Public Wor1<s 434 Beaut Remove Contract Revenue Neutral
$ (71,300)
Police Impact Fee Fund
$ 165,000 102-56310 Capital Improvements Police Impact Fee Police Headquarter Expansion New Request for Supplemental Appropriation
Stormwater Fund
1,400 130-52320 Wor1<mans Comp Stormwater Fund Wor1<ffians Comp Underfunded New Request for Supplemental Appropriation
Medical Transport
30,000 170-56410 Other Equipment Medical Transport Private Grant to Purchase Equip Revenue Neutral
1999 ConstrucUon Fund
13,478 305-56320 Pari< Improvements 1999 Construction Fund SRI - Pari< project PO Rollover from FY 01
InformaUon Systems Project Fund
216,600 307-55278 Software Systems Info Sys Project Fund Computer Conversion PO Rollover trom FY 01
TLBD Improvement Fund
$ 240,000 308-56315 Construction Improvements TLBD Improvement Fund Cathcart Contracting Change Orders New Request for Supplemental Appropriation
Water & Sewer Fund
$ 365,000 401-3630-56310 Capital Projects W&S '97 Ut Const Fund Add'llnt Eamings to be used tor proj New Request for Supplemental Appropriation
$ 5,800 401-52320 Worl<mans Comp Water & Sewer Fund Wor1<mans Comp Underfunded New Request for Supplemental Appropriation
$ 370,800
CITY OF WINTER SPRINGS
MID.YEAR BUDGET AMENDMENT
REVENUE
Amo.wlI Account Numher A~r:ollnt N~mA tillll fJJLJlJue IxllA
Gtn.~1 Fund
S 150,000 001-389100 Appropri,allon 'rllm Furd B.I.nee General Fund Reduce Interest Rates Low Now Request for Supplemental Appropriation From
$ 75,000 001.389100 APpropriation from Fund Balance Pollee Oopt COPS Revenue Reducton New ReQuest for Supplemental Appropriation From
$ 38,000 001,389100 Appropriation from Fund Balance General F urd Reduce Ad Val 17.02 for Red"... biD New ROQuest for Supplemental AppropliaUon From
$ 38,000 001.389100 Approp~lion from Fund Balance General FUnd Sl:lle Revenue Sharing Reduction New RoquoSI for Supplemontal Appropriation From
$ 299,000
(282,100) 001-389100 Appropriation 10 Fund Balance General Fund Record ReceIpt at Unexpected F eo New Request for Supplemental Appropriation To
(82,000) 001.389100 Appltlpriatlon to Fund Balance Gencral Fund Realllj Expeded Increase In EFFF New Rec;uest for Supplemental Appropria!bn To
(33,100) 001,389100 Appropriation to Fund Balance General Fund Record Tower Rental. Water Fields New Request for Supple~ental Appropriation To
(27,'00) 001.389100 Appropriation to Fund Balance Fire Depl Record Insurance Reimb Proceeds New Request for Supplemental Appropriation To
(424,600)
$ '0,000 . 001.3'9200 LuoueINonresldent Fees P&R.Alhletics Prllperly Record Budget Revenue NeutraJ
$ 13,500 . 001.331200 PUblic Safety Grants Fite Dept Record FEMA Gr.nt Revenue Neutral
S 10,000 . 001.322100 Building PermitJ Building Oept Record Cenle. Sped.1 Servtces RQvenue Neutr;1
S 3,200 . 001.334900 Other Slate Granls Planning Oept SI 0' FL Relmb 'or I",pedlons ROVQnue Neutral
$ (138,000) 001.335575 Relmb 434 Beautification Publlc Wo~ 434 Beaut Remo\le Contract RO\lonue Neutral
S (71.300)
$ 80,000 . 001.389100 Appl1lpt1;tlon trllm Fund Bal.nee PoUce Oept Vehicles Commission Approved 211112002 Supp App Frllm
$ 28,500 001.389100 Appl1lpri01lon trllm Furd B.l;nce ISOept FIorld.le;gue 0' Cilles Prll""s;ol New Request for Supprememal Appropriatlon From
$ 28,300 . 001.389100 Appl1lpri.llon 'rllm Fund B.l;nce Fire Oept Cont...d Services. TIre Fire Commission Appl1lved W08l2001 Supp App Frllm
S 28,000 . 001.389100 Appropriation from Fund Balance pubnc WoO;,s MosQulto Chemicals Commission Approved 10108I2001 Supp App Frllm
$ 20,000 001-389100 Appropriation from Fund Balance General GOIIt Oepe Legislatlv,e Servkes Commission APPrllved 4/2/12002 Supp App From
$ 14.200 001-389100 Appropriation from Fund Balance Planning Oept Concurrency and Impact Fee Assess New Request for Supplemental Appropriation From
$ 8,000 . 001.389100 Appropriation from Furd Balance Building Oept Contract Inspections CommLsslon Approved 1111212001 Supp App From
$ 4,000 . 001-389100 ApPltlpriatlon from Fund Bal.mce Building Dept Contract Inspections Commission Appro\led 112812002 Supp App From
$ 2og,OOO
S 150,000 001.389100 Appropriation from Fund Balance LeQal Services Oept LeQal fees New- Request for Supplemental Appropriation From
S 47,900 001.389100 Aoproprbtlon from Fund Balance Va~us GF OePts Workmans Comp . Underfunded New Requesl for Supplemental APPl'tlpNitlon From
S 22,000 001.389100 AppropriOlUon from Furd Balance City Hall Oept Utility Services New Request for Supplemental Appropriation From
S 18,000 001.389100 Appropriation from Fund Balance Building Oept Salaries New Request for Supplemental Appropriation From
S 18,000 001.389100 Appropriation from Fund Balance Rlsk Man3gement Depl General Insurance New ReQue't for Supplemental Approprbtlon From
S 10,000 001-389100 ApproPNitlon from Fund Balance City Hall Oept Telephone Expense NIIW Request for Supplemental Appropriafun From
S 5,000 001-389100 Appropriation from Fund Balance City HaD Oepl Copy Machlne Supplies New Request for Supplemental Appropriation From
S 5,000 . 001-389100 Approprbtlon from Fund Balance HR Oept Empk)yee Recognition Awards New ReQuest for Supplemental Appropriation From
S 4,000 001.389100 Appropriation from Fund Balance Building Dept O\Iertlme Salaries New Request for Supplemental Appropriation From
S 275,QOO
12,$00 oo1.38g10Q Appropriation from Fund Balance City Man~er Depl Balance on Avid Nee Goo MOlrketll'\Q PO Rollover from FY 01 Supp Appropriation From
3,200 . 001.389100 Appropriation from Fund Balance Public Works O:a~ Hollow Improvement, PO Rollover from FY 01 Supp Appropriation Fmm
15,700
282,100 001-313500 Cable Television Franchise General F UM Record Receipt of Une.xpected Fee Re\lenue Increase
82,000 001-381002 Transfer from EFFF General Fund Rec Expected Inc in EFFF Revenue Increase
33,100 001.351202 Tower Rental - Waler Fields General Fund Record Receipt of CIOQular Payment Revenue Increase
27,400 001-384200 Insurance Proceeds Fire Oepl Record Insurance Reimb Proceeds Re\lenue Increase
424,600
(150,000) 001.381100 Interest Income General Fund Low Interest Rates Re\lenue Roctuctlon
(75,000) 001.331400 Federal Grant. COPS Police Depl Received funds in Prior Year Revenue Reduction
(38,000) 001.311000 Ad Valorem General Fund Reduce Ad Val 17.92 for Redev bill Revenue Reduction
(36,000) 001.335120 State Revenue Sharing General Fund Sta1e Revenue Sharing Reduction Re\lenU8 Roctucllon
(299,0001
Pol1c.'mp~ct Ft4f Fund
185,000 102.389100 Appropriation from Fund BCllance Police Impact Fee
Police Headquarter Expansion
New Request for Supplemental Appropriation
Stormw~ter Fund
1,400 130.389100 Appropriation from Fund Balance Slotmwater Fund
Wor1l:mans Camp Underfunded
New Request for Supplemental Appropriation
Medlc~1 Tf'imsport
30,000 170-33700 Other local Grants
Medical Transport
Private Grant to Purchase Equip
Revenue Neutral
1999 Construction Fund
13,478 305-389100 Appropriation from FUnd Balance 1999 Construction Fund SRI. Pari< project
PO Rollover from FY 01
fnformaflon Sysf.ms Project Fund
S 218,600' 307.389100 Appropriation from Fund Balance Info Sys Project Fund Computer Conversion
PO Rollo\ler from FY 01
TLBD Improv,mrnt Fund
S 240,000 3oa..389100 Appropriation from Fund Balance TlBD Impro\lement Fun Cathcart Contracting Change Orders New Request for Supplemental Appropriation
'~'oIflj; wtfFun,r
CITY OF WINTER SPRINGS
MID- YEAR GENERAL FUND FUND BALANCE RECAP WITH PROPOSED CHANGES
FY02
$3,429.600
Fund Balance per 9/30/01 CAFR
$ (299.000)
$ 424.600
New Request for Supplemental Appropriation from Fund Balance for Decreased Revenues
New Request for Supplemental Appropriation to Fund Balance for Increase in Revenues
$ (209.000)
Commission Approved Supplemental Appropriations from Fund Balance for Expenses
$ (477.200)
$ (15.700)
$ (576,300)
New Request for Supplemental Appropriation from Fund Balance for Increased Expenses
New Request for Supplemental Appropriation from Fund Balance for FY 01 PO Ro/lover for Expenses
Net Fund Balance Budget Change
$2,853.300
Fund Balance Adjusted for Mid- Year Budget Review
CITY OF WINTER SPRINGS
LIST OF GENERAL FUND BUDGET AMENDMENTS
TIES TO AMENDED GENERAL FUND REVENUE & EXPENDITURE BUDGET AND FUND BALANCE RECAP
MID- YEAR FY 02
$ 150,000 Interest
$ 75,000 COPS Grant
$ 38,000 Ad Valorem
$ 36,000 State Revenue Sharing
$ 299,000 New Request for Supplemental Appropriation
for Reduction in Revenue
$ 282,100 Cable Franchise Fee
$ 82,000 Electric Franchise Fee Transfer
$ 33,100 Tower Rental-Water Fields
$ 27,400 Insurance Proceeds
$ 424,600 New Request for Supplemental Appropriation for
Increase in Revenue
$ 40,000 League Fees Revenue and Expense
$ 13,500 Public Safety Grant Revenue and Expense
$ 10,000 Building Permit-Centex Arrangement Revenue and Expense
$ 3,200 Other State Grant Revenue and Expense
$ (138,000) 434 Beautification Reimbursement Revenue and Expense
$ (71,300) Net Revenue Neutral Changes (Offset by Expenses)
$ 80,000 Police Vehicles
$ 28,500 Florida League of Cities IS Proposal
$ 28,300 Contract Serv - Fire Dept - Tires
$ 28,000 Mosquito Chemicals
$ 20,000 Legislative Services
$ 14,200 Concurrency and Impact Fee Studies
$ 6,000 Contract Inspections
$ 4,000 Contract Inspections
$ 209,000 Commission Approved Supplemental Appropriations
for Expenses
$ 161,300 Loss Contingency - Lawsuit - Interim Service Fees
$ 150,000 Legal Fees
$ 47,900 Workmans Comp Expense
$ 22,000 Utility Services City Hall
$ 20,000 Consultant Fees - GASB 34 Infrastructure Review
$ 16,000 Building Dept Salaries
$ 16,000 Generallnsurance
$ 10,000 R&M- Vehicles Fire Dept
$ 10,000 Publications - Newsletter
$ 10,000 Telephone Expenses City Hall
$ 5,000 Copy Machine Supplies City Hall
$ 5,000 Employee Recognition Awards
$ 4,000 Building Dept aT Salaries
$ 477,200 New Requests for Supplemental Appropriations
for Expenses
$ 12,500 Avid Neo Marketing
$ 3,200 Oak Hollow Improvements
$ 15,700 FY 01 PO Rolfovers
for Expenses
CITY OF WINTER SPRINGS
GENERAL FUND AMENDED EXPENDITURE BUDGET RECAP
MID YEAR FY 02
New
FY02 New Request FY02
Original Approved Request Supplemental FY01 Revenue Amended
Annual Supplemental Supplemental Appropriations PO Neutral Annual
~ Appropriations Appropriations WIC Expense Roffover Changes Budaet
City Commission $ 104,600 $ 10,000 $ 114,600
Various Boards $ 21,100 $ 21,100
City Manager $ 255,300 $ 100 $12,500 $ 267,900
City Clerk $ 161,500 $ 100 $ 161,600
Legal Services $ 138,500 $ 150,000 $ 288,500
Finance $ 364,500 $ 20,000 $ 100 $ 384,600
Gen Svc - Human Res $ 108,800 $ 5,000 $ 113,800
Finance - Meter Svc $ 403,400 $ 1,000 $ 404,400
Gen Svc - Purchasing $ 89,500 $ 89,500
Information Systems $ 484,900 $ 28,500 $ 513,400
Finance - Utility Bifling $ 260,900 $ 100 $ 261,000
Public Works - Engineering $ 58,900 $ 400 $ 59,300
Comm Dev - Planning $ 286,300 $ 14,200 $ 100 $ 3,200 $ 303,800
Comm Dev - Dev Review $ 60,000 $ 60,000
General Govemment $ 25,000 $ 20,000 $ 161,300 $ 206,300
City Half $ 134,900 $ 37,000 $ 171,900
Risk Management $ 243,500 $ 16,000 $ 259,500
Ubrary $ 1,500 $ 1,500
Police $ 3,699,700 $ 80,000 $ 18,300 $ 3,798,000
COPS Grant - Officer $ 76,100 $ 500 $ 76,600
COPS Grant - Equipment $ 19,000 $ 19,000
DEA Investigations $ 5,000 $ 5,000
School Resource Officer $ 50,700 $ 500 $ 51,200
Fire $ 2,478,700 $ 28,300 $ 10,000 $ 12,100 $ 13,500 $ 2,542,600
Com Dev - Building $ 338,700 $ 10,000 $ 20,000 $ 2,000 $ 10,000 $ 380,700
Com Dev - Code $ 210,100 $ 2,100 $ 212,200
Public Works $ 1,318,200 $ 28,000 $ 5,000 $ 3,200 $ 1,354,400
Public Works - 434 Beaut $ 138,000 $(138,000) $
P&R - Admin $ 135,400 $ 100 $ 135,500
P&R - Athletics $ 127,200 $ 800 $ 40,000 $ 168,000
P&R - Concessions $ 132,300 $ 400 $ 132,700
P&R - Parks & Grounds $ 713,400 $ 3,300 $ 716,700
P&R - FRDAP $ 436,000 $ 436,000
P&R - CDBG $ 485,000 $ 485,000
P&R - Programs $ 158,800 $ 400 $ 159,200
P&R - Seniors $ 105,600 $ 500 $ 106,100
Total $13,831,000 $ 209,000 $ 429,300 $ 47,900 $15,700 $ (71,300) $14,461,600
I $477,200 I
. '
CITY OF WINTER SPRINGS
GENERAL FUND AMENDED REVENUE BUDGET RECAP
MID YEAR FY 02
FY02
Original
Annual
~ Amendments
FY02
Amended
Annual
Budget
Ad Valorem Revenues $ 4,273,800 $ (38,000) $ 4,235,800
Sales Tax $ 2,121,500 $ 2,121,500
State Revenue Sharing $ 712,500 $ (36,000) $ 676,500
Mobile Home Tax $ 9,000 $ 9,000
Motor Fuel Tax Rebate $ 8,000 $ 8,000
Alcoholic Beverage Tax $ 2,400 $ 2,400
Gas Franchise Fee $ 25,000 $ 25,000
Cable Franchise Fee $ - $ 282,100 $ 282,100
COBG - SC Torcaso Park $ 485,000 $ 485,000
FROAP - Sunshine Park $ 200,000 $ 200,000
FROAP - Torcaso Park $ 200,000 $ 200,000
COPS - Salaries $ 75,000 $ (75,000) $ -
COPS - Equipment $ 19,000 $ 19,000
Public Safety Grants $ - $ 13,500 $ 13,500
Other State Grants $ - $ 3,200 $ 3,200
Permits - Building $ 400,000 $ 10,000 $ 410,000
Occupational Lkenses $ 110,000 $ 110,000
County Impact Fees $ 20,000 $ 20,000
Permits - Arbor $ 15,000 $ 15,000
Permits - Plumbing $ 10,000 $ 10,000
Permits - Mechanical $ 10,000 $ 10,000
Engineering Inspection Fee $ 10,000 $ 10,000
Site Plan Review $ 5,000 $ 5,000
Zoning and Annexations $ 3,000 $ 3,000
Permits - Electrical $ 2,500 $ 2,500
Commerical Vehicle Permit $ 1,000 $ 1,000
Concession Stand $ 131 ,400 $ 131,400
League Fee/Field Rental $ 15,000 $ 40,000 $ 55,000
Partnership League Fees $ 50,000 $ 50,000
Summer Youth Program $ 45,000 $ 45,000
Program Fees $ 15,000 $ 15,000
Facility Rental $ 10,000 $ 10,000
Fines & Forfeitures - Police $ 245,600 $ 245,600
Fines & Forfeitures - Code $ 5,000 $ 5,000
FOOT - Reimb for 434 Beaut $ 138,000 $ (138,000) $ -
St of FL - DOT $ 45,000 $ 45,000
School Resource Officer $ 40,000 $ 40,000
OEA Rev - Leased Explorer $ 5,000 $ 5,000
Interest $ 200,000 $ (150,000) $ 50,000
Miscellaneous Revenues $ 30,000 $ 30,000
Tower Rental- City Hall $ 42,000 $ 42,000
Tower Rental- Water Fields $ - $ 33,100 $ 33,100
Insurance Proceeds $ - $ 27,400 $ 27,400
Recording and Copying Fees $ 6,000 $ 6,000
Transfer from PSTF $ 2,200,400 $ 2,200,400
Transfer from EFFF $ 620,600 $ 82,000 $ 702,600
Transfer from Storm water $ 20,500 $ 20,500
Transfer from Solid Waste $ 108,000 $ 108,000
Reimb from W&S for VB & MS $ 648,900 $ 648,900
Reimb from W&S for Fair Share $ 491,900 $ 491,900
Appropriation from Fund Balance $ - $ 576,300 $ 576,300
Totals
$ 13,831,000 $
630,600 $ 14,461,600
Reduction in Fund Balance
Reduction in Fund Balance
Addition to Fund Balance
Reduction in Fund Balance
Revenue Neutral
Revenue Neutral
Revenue Neutral
Revenue Neutral
Revenue Neutral
Reduction in Fund Balance
Addition to Fund Balance
Addition to Fund Balance
Addition to Fund Balance
Net Supplemental Appropriations
. '