HomeMy WebLinkAboutR-21-20 Adopting BudgetRESOLUTION NO. R-21-20
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
SEBASTIAN, INDIAN RIVER COUNTY, FLORIDA ADOPTING THE
BUDGET FOR THE FISCAL YEAR BEGINNING OCTOBER 1, 2021 AND
ENDING SEPTEMBER 30, 2022; MAKING APPROPRIATIONS FOR THE
PAYMENT OF OPERATING EXPENSES, CAPITAL EXPENSES, AND
FOR THE PRINCIPAL AND INTEREST PAYMENTS ON THE
INDEBTEDNESS OF THE CITY IN THE CITY'S GENERAL FUND,
SPECIAL REVENUE FUNDS, DEBT SERVICE FUND, CAPITAL
IMPROVEMENT FUNDS, GOLF COURSE FUND, AIRPORT FUND, AND
BUILDING DEPARTMENT FUND AS PROVIDED FOR IN SCHEDULE
"A", ATTACHED HERETO, ESTABLISHING AUTHORITY OF THE
CITY MANAGER TO IMPLEMENT THE BUDGET; PROVIDING FOR
SEVERABILITY; PROVIDING FOR CONFLICTS; PROVIDING FOR
SCRIVENER'S ERRORS; AND PROVIDING FOR AN EFFECTIVE DATE.
WHEREAS, the City Manager has submitted a Proposed Budget for the City of Sebastian for the
fiscal year beginning October 1, 2021, and ending September 30, 2022; and
WHEREAS, on September 13, 2021, the City Council conducted Public Hearings on the Proposed
Budget and Adopted the Tentative Budget.
NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF
SEBASTIAN, INDIAN RIVER COUNTY, FLORIDA, that:
Section 1. The City Manager's Proposed Final Budget is hereby adopted for the Fiscal Year
beginning October 1, 2021 and ending September 30, 2022.
Section 2. The amounts shown on the attached Schedule "A" are hereby appropriated out of the
Treasury of the City, including any revenues accruing to the City available for purposes of the City's
budgetary accounts.
Section 3. The City Manager is hereby authorized and directed to proceed with the
implementation of the service programs and projects provided for in the budget. Such implementation
is to be consistent with the provisions of the City Code of Ordinances and policies established by the
City Council.
Section 4. The City Manager is authorized to make budget adjustments within budgetary accounts,
as he deems appropriate. He is further authorized to make budget adjustments between budgetary
accounts when necessary to implement programs, projects, and expenditures authorized by the City
Council. All other budgetary adjustments will require approval by the City Council.
Section 5. If any clause, section, or other parts of this Resolution shall be held by any Court of
competent jurisdiction to be unconstitutional or invalid, such unconstitutional or invalid part shall be
considered as eliminated and shall in no way affect the validity of the other provisions of this
Resolution.
Section 6. CONFLICT. All Resolutions or parts of Resolutions in conflict herewith are hereby
repealed to the extent of such conflict.
Section 7. SCRIVENER'S ERRORS. Sections of this resolution may be renumbered or re -
lettered and corrections of typographical errors which do not affect the intent may be authorized by the
City Manager, or the City Manager's designee, without need of further action of City Council by filing
a corrected copy of same with the City Clerk.
Section S. This Resolution shall become effective October 1, 2021.
The foregoing Resolution was moved for adoption by Councilmember Jones . The motion
was seconded by Councilmember t4cPartlan and, upon being put into a vote, the vote was as
follows:
Mayor Ed Dodd aye
Councilmember Jim Hill aye
Councilmember Bob McPartlan aye
Councilmember Fred Jones aye
Councilmember Christopher Nunn aye
The Mayor thereupon declared this Resolution duly passed and adopted on this the 29'" day of
September, 2021.
CITY OF SEBASTIAN, FLORIDA
By: /VoSE"L_ —
Ed bodd, Mayor
ATTEST:
J ette Williams, City Clerk ---
Approved as to fo and legality for the reliance
by the Ci of S ast o
M y on, Jr., ty Attorney
ATTACHMENT TO RESOLUTION R-21-20
SCHEDULE"A"
BUDGET SUMMARY
FISCAL YEAR 202112022
REVENUES:
GENERALFUND
001501
Taxes and franchise fees
$
9,382,099
001501
Licenses and permits
170,350
001501
Intergovernmental
3,113,075
001501
Charges for services
771,650
001501
Fines and forfeits
50,900
001501
Miscellaneous
236,100
001501
Transfers in
35,000
Total Revenues
$
13.759,174
EXPENDITURES:
010001
City Council
$
60,500
010005
City Manager
330.971
010009
City Clerk
290,644
010010
City Attomey
210,290
010020
Administrative Services
751,020
010021
Management Information System
593,313
010041
Police Administration
956,818
010043
Police Operations
3,681,798
010047
Police Detective Division
1,179.948
010049
Police Dispatch Unit
668,653
010045
Code Enforcement Division
199,043
010052
Roads and Maintenance
1,098,829
010054
Fleet Management
228,687
010056
Facilities Maintenance
550J53
010059
Cemetery
132,937
010057
Leisure Services
1,255,182
010080
Community Development
554.223
010099
Non-deparhnental
L025,675
Tom] Expenditures
$
13,759,174
ATTACHMENT TO RESOLUTION R-21-20
SCHEDULE"A"
BUDGET SUMMARY
FISCAL YEAR 2021/2022
SPECIAL REVENUE FUNDS
LOCAL OPTION GAS TAX FUND
120010
REVENUES
Taxes
$
735,600
Miscellaneous
15,473
Total Revenues
$
751.073
120051
EXPENDITURES
Operating
S
44,300
Capital Outlay
4,870
Debt service
242,801
Transfers out
100,000
Unappropriated
359,102
Total Expenditures
S
751,073
DISCRETIONARY SALES TAX FUND
130010
REVENUES
Taxes
$
4,311,580
Miscellaneous
48,500
Appropriation from poor year
2,860,825
Total Revenues
$
7,220,905
130051
EXPENDITURES
Transfers out
$
7,220,905
Total Expenditures
$$
7,2209
RECREATION IMPACT FEE FUND
160010
REVENUES
Impact fee
$
150,000
Miscellaneous
10,000
Restricted cash balance carryforward
65,000
Total Revenues
$
225,000
160051
EXPENDITURES
Transfers out
$
225,000
Total Expenditures
$
225.000
STORMWATER UTILITY FUND
163010
REVENUES
Slormwater utility fee
$
1,952,000
Miscellaneous
4,244
Restricted cash balance cartyl'orward
154,703
Total Revenues
S
2,110,947
163051
EXPENDITURES
Operating
$
1,792,947
Capital Outlay
103,000
Transfers out
215,000
Total Expenditures
$
2,110,947
2
ATTACHMENT TO RESOLUTION R-21-20
SCHEDULE"A"
BUDGET SUMMARY
FISCAL YEAR 2021/2022
SPECIAL REVENUE FUNDS - CONTINUED
PARKING IN -LIEU -OF FEE FUND
190010
REVENUES
Miscellaneous
$
3,069
Total Revenues
$
3,069
190051
EXPENDITURES
Unappropriated
3,069
Total Expenditures
$
3,069
LAW ENFORCEMENT FORFEITURE FUND
190010
REVENUES
Fines and forfeits
$
1,000
Miscellaneous
250
Total Revenues
$
1,250
190051
EXPENDITURES
Unappropriated
$
1,250
Total Expenditures
$
1,250
COMMUNITY REDEVELOPMENT AGENCY FUND
163010
REVENUES
Tax Increment - Sebastian
$
197,927
Tax increment - Indian River County
233,714
Miscellaneous
40,780
Restricted cash balance carryforward
123,406
Total Revenues
$
595,827
163051
EXPENDITURES
Operating
$
280,827
Grants and Aids
40,000
Transfers out
275,000
Total Expenditures
$
595,827
DEBT SERVICE FUND
STORMWATER UTILITY REVENUE BONDS
263010 REVENUES
Miscellaneous
$
600
Transfers in
233,403
Restricted cash balance carryforward
167,831
Total Revenues
$
401,834
263051 EXPENDITURES
Debt service
$
401,834
Total Expenditures
$
401,834
3
ATTACHMENT TO RESOLUTION R-21-20
SCHEDULE"A"
BUDGET SUMMARY
FISCAL YEAR 2021/2022
CAPITAL PROJECTS FUNDS
REVENUES
Transfers from Other Funds
$
7,802,502
Grams
11,876,000
Total Revenues
$
19,678,502
EXPENDITURES
Tansponation
$
6,154,024
Recreation
225,000
Physical Environment
12,265,000
Public Safety
422,083
General Government
612,395
Total Expenditures
$
19,678,502
ENTERPRISE FUNDS
GOLF COURSE FUND
410010
REVENUES:
Charges for services
$
1,546,316
Restricted cash balance cartyfomard
18,709
Total Revenues
$
1,565,025
EXPENSES:
GOLF COURSE ADMINISTRATION
410110
Personal services
$
316,470
Operating expenses
375,200
Capital Outlay
25,000
Repayment of Interfand Loans
71,085
Total Administration
$
787,755
GOLF COURSE GREEN DIVISION
410120
Operating expenses
$
588,990
Total Golf Course Green Division
$
588,980
GOLF COURSE CARTS DIVISION
410130
Personal services
$
133,655
Operating expenses
2,944
Debt Service on Cart Lease/Purchase
51,691
Total Golf Course Carts Division
$
188,290
Total Golf Course Expenses
$
1,565,025
4
ATTACHMENT TO RESOLUTION R-21-20
SCHEDULE"A"
BUDGET SUMMARY
FISCAL YEAR 202112022
ENTERPRISE FUNDS -CONTINUED
AIRPORT FUND
450010 REVENUES
Charges for services
$
606,727
Miscellaneous revenues
22.505
Total Revenues
$
629,232
450110 EXPENSES:
Personal services
$
76,303
Operating expenses
354,635
Debt service
36,500
Capital Outlay
7.500
Unappropriated
154,294
Total Expenses
$
629,232
BUDAING DEPARTMENT
480010 REVENUES
Charges for services
$
996,500
Miscellaneous revenues
76,176
Restricted cash balance carryforward
164,176
Total Revenues
$
1,236,852
480110 EXPENSES:
Personal services
$
782,669
Operating expenses
338,183
Capital Outlay
116,000
Total Expenses
$
1,236,852
TOTAL BUDGET SUMMARY
GENERAL FUND
S
13,759,174
SPECIAL REVENUE FUNDS
10,908,071
DEBT SERVICE FUNDS
401,834
CAPITAL PROJECT FUNDS
19,678,502
ENTERPRISE FUNDS
3,431,109
TOTAL BUDGET FOR ALL FUNDS
S
48.178.690
5
OIYR
SE
HOME OF PELICAN ISLAND
CITY COUNCIL AGENDA TRANSMITTAL FORM
COUNCIL MEETING DATE: September 29, 2021
AGENDA ITEM TITLE: Resolution No. R-21-20 Adopting a Final Budget for the Fiscal
Year2021-2022
RECOMMENDATION: Move to Approve Resolution No. R-21-20
BACKGROUND:
In accordance with Florida Statute 200.065, the City Council approved a tentative budget for
the fiscal year 2021-2022 on September 13, 2021.
Staff Compiled a balanced Recommended Budget for Fiscal Year 2021-22 that assumes a
millage being set at the rolled -back rate of 3.0043. Over the past several months, Staff has
presented our budget recommendations to the Citizen's Budget Review Advisory Board,
Planning and Zoning Commission and City Council.
A complete copy of the recommended budget is available on the City's website. Schedule "A"
of the Resolution summarizes the budget. Staff will be presenting a power point at this
meeting for the benefit of the public. Staff recommends approval of the Resolution and the
final budget amounts shown on Schedule "A".
IF AGENDA ITEM REQUIRES EXPENDITURE OF FUNDS:
Total Cost: N/A
Fund to Be Utilized for Appropriation: N/A
ATTACHMENTS:
Resolution R-21-20 with Exhibit "A" I �I
Administrative Services Departme t Re l
City Attorney Review: /
Procurement Division Revi , if pi(caile: n/A
City Manager ut orization:
Date: f7ee/