HomeMy WebLinkAboutR-22-23 FY 2022-2023 Tentative BudgetRESOLUTION NO. R-22-23
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
SEBASTIAN, INDIAN RIVER COUNTY, FLORIDA ADOPTING THE
TENTATIVE BUDGET FOR THE FISCAL YEAR BEGINNING ON
OCTOBER 1, 2022 AND ENDING SEPTEMBER 30, 2023; MAKING
APPROPRIATIONS FOR THE PAYMENT OF OPERATING EXPENSES,
CAPITAL EXPENSES, AND FOR PRINCIPAL AND INTEREST
PAYMENTS ON INDEBTEDNESS OF THE CITY, IN THE CITY'S
GENERAL FUND, SPECIAL REVENUE FUNDS, CAPITAL
IMPROVEMENT FUNDS, GOLF COURSE FUND, AIRPORT FUND, AND
BUILDING FUND, AS PROVIDED FOR IN SCHEDULE "A",
ATTACHED HERETO, ESTABLISHING AUTHORITY OF THE CITY
MANAGER TO IMPLEMENT THE BUDGET; PROVIDING FOR
CONFLICT; PROVIDING FOR SCRIVENER'S ERRORS; AND
PROVIDING FOR AN EFFECTIVE DATE.
WHEREAS, the City Manager has submitted a Proposed Tentative Budget for the City of
Sebastian for the fiscal year beginning October 1, 2022, and ending September 30, 2023; and
WHEREAS, the City Council has conducted a Public Hearing on the Proposed Tentative
Budget on September 13, 2022.
NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY
OF SEBASTIAN, INDIAN RIVER COUNTY, FLORIDA, that:
Section 1. The Tentative Budget is hereby adopted for the Fiscal Year beginning on
October 1, 2022 and ending September 30, 2023, subject to a final hearing on September 28, 2022.
Section 2. The amounts shown on the attached Schedule "A" are tentatively 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 tentatively authorized and directed to prepare for 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 tentatively authorized to make budget adjustments within
budgetary accounts shown on Schedule "A" as he deems appropriate. He shall also be authorized
to make budget adjustments between budgetary accounts shown on Schedule "A", when necessary
to implement programs, projects, and expenditures authorized by the City Council or for purposes
of clarification and enhancement of accounting and reporting requirements. He shall be further
authorized to make adjustments to project allocations from remaining balances in other projects or
from other available funds when necessary to satisfactory complete requisite projects. All other
budgetary adjustments will require prior approval by the City Council.
Section 5. CONFLICT. All Resolutions or parts of Resolutions in conflict herewith are
hereby repealed to the extent of such conflict.
Section 6. 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 7. EFFECTIVE DATE. This Resolution shall become effective upon passage.
The foregoing Resolution was moved for adoption by Councilmember McPartlan . The
motion was seconded by Councilmember Dodd and, upon being put into a vote,
the vote was as follows:
Mayor Jim Hill
absent
Vice -Mayor Fred Jones
aye
Councilmember Ed Dodd
aye
Councilmember Bob McPartlan
aye
Councilmember Christopher Nunn
ave
The Mayor thereupon declared this Resolution duly passed and adopted this 13th day of
September, 2022.
CITY OF SEBASTIAN, FLORIDA
By: vice Mavor Fred ,Tones - -
for Jim Hill, Mayor — -
ATTEST: _
C_IFLt,✓ atj Wd- PA am a
lE6nette Williams, City Clerk _
Approved as to fo - d le y for the
reliance b e City Se as ' ly:
M no
ATTACHMENT TO RESOLUTION R-22-23
SCHEDULE"A"
BUDGET SUMMARY
FISCAL YEAR 2022/2023
GENERALFUND
REVENUES:
001501
Taxes and franchise fees
$
9,924,615
001501
Licenses and permits
163,700
001501
Intergovernmental
3,811,968
001501
Charges for services
745,370
001501
Fines and forfeits
50,500
001501
Miscellaneous
253,000
001501
Transfers in
35,000
Total Revenues
$
14,984,153
EXPENDITURES:
010001
City Council
$
62,725
010005
City Manager
306,745
010009
City Clerk
222.575
010010
City Attorney
236,730
010020
Administrative Services
823,320
010021
Management Information System
717,540
010041
Police Administration
858,600
010043
Police Operations
3,992,550
010047
Police Detective Division
1,300,205
010049
Police Dispatch Unit
749.330
010045
Code Enforcement Division
202,100
010052
Roads and Maintenance
1.149,134
010054
Fleet Management
279.680
010056
Facilities Maintenance
771.545
010059
Cemetery
163,740
010057
Leisure Services
1,408,615
010080
Community Development
675,690
010099
Non -departmental
1,064.329
Total Expenditures
$
14,984,153
ATTACHMENT TO RESOLUTION R-22-23
SCHEDULE"A"
BUDGET SUMMARY
FISCAL YEAR 2022/2023
SPECIAL REVENUE FUNDS:
LOCAL OPTION GAS TAX FUND
120010
REVENUES
Taxes
$
788,980
Miscellaneous
15,670
Appropriation from prior year
247,924
Total Revenues
$
1,052,574
120051
EXPENDITURES
Operating
$
5,400
Debt service
122,174
Transfers out
925,000
Total Expenditures
$
1,052,574
DISCRETIONARY SALES TAX FUND
130010
REVENUES
Taxes
$
5,170,143
Miscellaneous
96,249
Total Revenues
$
5,266,392
130051
EXPENDITURES
Transfers out
$
4,395,472
Unappropriated
870,920
Total Expenditures
$
5.266,392
RECREATION IMPACT FEE FUND
160010
REVENUES
Impact fee
$
150,000
Miscellaneous
13,389
Total Revenues
S
163,389
160051
EXPENDITURES
Transfers out
$
55,000
Unappropriated
108,389
Total Expenditures
$
163,389
STORMWATER UTILITY FUND
163010
REVENUES
Stormwater utility fee
$
1,957,000
Miscellaneous
7,588
Restricted cash balance canyforward
226,186
Total Revenues
$
2,190,774
163051
EXPENDITURES
Operating
$
2,149,474
Capital Outlay
41,300
Tote] Expenditures
$
2,190,774
74
ATTACHMENT TO RESOLUTION R-22-23
SCHEDULE"A"
BUDGET SUMMARY
FISCAL YEAR 2022/2023
SPECIAL REVENUE FUNDS - CONTINUED:
PARKING IN -LIEU -OF FEE FUND
190010
REVENUES
Miscellaneous
$
539
Total Revenues
$
539
190051
EXPENDITURES
Unappropriated
539
Total Expenditures
$
539
LAW ENFORCEMENT FORFEITURE FUND
190010
REVENUES
Fines and forfeits
$
1,000
Miscellaneous
160
Total Revenues
$
1,160
190051
EXPENDITURES
Unappropriated
$
1,160
Total Expenditures
$
1,160
COMMUNITY REDEVELOPMENT AGENCY FUND
163010
REVENUES
Tax Increment - Sebastian
$
210,187
Tax Increment - Indian River County
210,187
Miscellaneous
43,719
Total Revenues
$
464,093
163051
EXPENDITURES
Operating
$
260,918
Transfers out
15,000
Unappropriated
188,175
Total Expenditures
$
464,093
CAPITAL PROJECTS FUNDS:
REVENUES
Transfers from Other Funds
$
5,398,752
Grants
14.134.742
Total Revenues
$
19,533,494
EXPENDITURES
Transportation
$
4,664,855
Recreation
55,000
Physical Environment
13,410,586
Public Safety
971,158
Economic Environment
15,000
General Government
416,895
Total Expenditures
$
19,533,494
3
ATTACHMENT TO RESOLUTION R-22-23
SCHEDULE"A"
BUDGET SUMMARY
FISCAL YEAR 2022/2023
ENTERPRISE FUNDS:
GOLF COURSE FUND
410010 REVENUES:
Charges for services $ 1,782,371
Restricted cash balance carryforward -
Toml Revenues $ 1.782,371
EXPENSES:
GOLF COURSE ADMINISTRATION
410110 Personal services
$
276,225
Operating expenses
402,529
Capital Outlay
6,500
Repayment of Interlard Loans
71,209
Unappropriated
113,395
Tote] Administration
$
869,858
GOLF COURSE GREEN DIVISION
410120 Operating expenses
$
681,324
Capital Outlay
77,000
Total Golf Course Green Division
$
758,324
GOLF COURSE CARTS DIVISION
410130 Personal services
$
139,695
Operating expenses
14,494
Tend Golf Course Carts Division
$
154,189
Total Golf Course Expenses
$
1,782,371
4
ATTACHMENT TO RESOLUTION R-22-23
SCHEDULE"A"
BUDGET SUMMARY
FISCAL YEAR 2022/2023
ENTERPRISE FUNDS -CONTINUED:
AIRPORT FUND
450010 REVENUES
Charges for services
S
639,830
Miscellaneous revenues
24,446
Tote] Revenues
S
664,276
450110 EXPENSES:
Personal services
$
178,130
Operating expenses
330,306
Debt service
36,500
Capital Outlay
9,500
Transfer out
8,280
Unappropriated
101,560
Total Expenses
S
664.276
BUILDING DEPARTMENT
480010 REVENUES
Charges for services
$
1,268,500
Miscellaneous revenues
43,498
Total Revenues
$
1,311,998
480110 EXPENSES:
Personal services
S
919,080
Operating expenses
338,146
Unappropriated
54,772
Total Expenses
S
1,311,998
TOTAL BUDGET SUMMARY
GENERAL FUND
S
14,854,007
SPECIAL REVENUE FUNDS
9,138,921
CAPITAL PROJECT FUNDS
19,533,494
ENTERPRISE FUNDS
3,758,645
TOTAL BUDGET FOR ALL FUNDS
S
47,285,067
5
HOME OF PELICAN ISLAND
CITY COUNCIL AGENDA TRANSMITTAL FORM
COUNCIL MEETING DATE: September 13, 2022
AGENDA ITEM TITLE: Resolution Adopting Fiscal Year 2022-23 Tentative Budget
RECOMMENDATION: Move to Consider Resolution R-22-23 Adopting Tentative Fiscal
Year 2022-23 Budget.
BACKGROUND:
Staff has compiled a balanced Recommended Budget for Fiscal
Year 2022-23 that assumes the millage being set at 2.9050, which is 8.26% above the rolled -back rate of
2.6834. 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. The required public hearing and adoption of the final millage and budget is scheduled for a
special City Council meeting on September 28, 2022.
ATTACHMENTS:
Resolution R-22-23 with Schedule "A".
The Recommended Budget and Capital Improvements Program (as adjusted) is on the City Website.
IF AGENDA ITEM REOUIRES EXPENDITURE OF FUNDS:
Total Cost: As per Schedule "A" of Resolution
Fund to Be Utilized for Appropriation: Various
�r
Administrative Services 4eparlm/view:
City Attorney Review:
Procurement Division Replica e:
City Manager uthorization:
Date: