HomeMy WebLinkAboutO-97-46ORDINANCE NO. 0-97-46
A ORDINANCE OF THE CITY COUNCIL OF THE CITY OF
SEBASTiAN, INDIAN RIVER COUNTY, FLORIDA AMENDING
THE BUDGET FOR THE FISCAL YEAR BEGINNING OCTOBER
1, 1996 AND ENDING SEPTEMBER 30, 1997; DETERMINING AND
FIXING THE AMOUNTS NECESSARY TO CARRY ON THE
GOVERNMENT FOR THE ENSUING YEAR; DETERMINING THE
AMOUNT OF APPLICABLE FUNDS ON HAND; ESTIMATING
RECEIPTS AND EXPENDITURES FOR THE GENERAL FUND,
EXHIBIT "A", GOLF COURSE FUND, EXHIBIT "B", AIRPORT
FUND, EXHIBIT "C", SPECIAL REVENUE FUND, EXHIBIT "D"
AND DEBT SERVICE FUND, EXHIBIT "E"; AND CHANGES IN
PERSONNEL CLASSIFICATIONS IN PUBLIC WORKS, EXHIBIT
"F"; PROVIDING FOR SEVERABILITY; PROVIDING FOR
CONFLICTS; AND PROVIDING FOR AN EFFECTIVE DATE.
WHEREAS, an amended budget has been prepared estimating expenses and revenues
of the City of Sebastian, Indian River County, Florida, for the current fiscal year, with
detailed information, including revenues to be derived from sources other than ad
valorem levy, and the administrative staff of the City has made recommendations as to
the amount necessary to be appropriated for the current fiscal year; and
WHEREAS, the City Council has met and considered the recommendations and the
amended budget for the current fiscal year;
NOW, THEREFORE, BE 1T ORDAINED BY THE CITY COUNCIL OF THE CITY
OF SEBASTIAN, INDIAN RiVER COUNTY, FLORIDA, THAT:
Section 1. The amended budget of the City of Sebastian, Indian River County,
Florida, for the Fiscal Year beginning October 1, 1996 and ending September 30, 1997,
identified as Exhibit "A", "B", "C", "D" and "E", is hereby adopted and the
appropriations set out therein are hereby made to maintain and carry on the government
of the City of Sebastian, Indian River County, Florida. The personnel reclassifications in
Exhibit "F" are hereby approved.
SeCtion 2. All delinquent taxes collected during the fiscal year as proceeds from
levies of operation millages of prior years are hereby specifically appropriated for the use
of the General Fund.
Section 3. All monies appropriated for Capital projects during the preceding fiscal
years and final payment has not been made are specifically re-appropriated for each
project as work-in-progress.
Section 4. If any clause, section, or other part of this Ordinance 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 Ordinance.
Section 5. All Ordinances or parts of Ordinances in conflict herewith are hereby
repealed to the extent of such conflict.
Section 6. This Ordinance shall become effective upon its passage and adoption.
The foregoing Ordinance was moved for adoption by Councilmember
The motion was seconded by Councilmember ~--~~j ...... and, upon being
put to a vote, the vote was as follows:
Mayor Walter Barnes
Vice Mayor Richard Taracka
Councilmember Louise Cartwright
Councilmember Larry Paul
Councilmember Ruth Sullivan
The~ .Mayor thereupon declared this Ordinance duly passed and adopted this ./?~'. day of
.... ~J.,,~;.,l~L.. , 199 7' ·
,~//7 CITY OF SEBASTIAN, FLORIDA
By:
Walter Barnes, Mayor
ATTEST:
Katl~ M. O"H~iloran, ~MC~AAEf'
City Clerk'
Approved_ ~ .. as:to_ F:ordl}tnd.. Content:
Valerie Settl. O.}~.'
City Attorney
3
CiTY OF SEBASTIAN
GENERAL FUND SUMMARY
REVENUE
ADOPTED
FY 96 - 97
AMENDED
FY 96 - 97
Taxes
Licenses & Permits
Intergovernmental
Charges for Service
Fines & Forfeits
Miscellaneous
Transfers In
Prior Year Balance
TOTAL REVENUE
$4,781,100
300,000
1,092,400
28,750
58,450
145,600
4,500
1,809,320
$5,001,100
300,000
1,092,400
28,750
58,450
145,600
0
1,477,065
$8.103,365
EXPENDITURE
City Council
City Manager
City Clerk
Finance
Legal
Police
Human Resources
Community Development
Emergency Management
DPW/Engineering & Admin.
DPW/Roads and Drainage
DPW/Building Maintenance
DPW/Central Garage
DPW/Parks & Recreation
DPW/Cemetery
Non-Departmental
TOTAL EXPENDITURE
$ 18,610
163,900
247,140
255,260
76,380
1,980,655
98,240
515,620
1,850
322,475
1,157,145
149,450
131,250
233,640
82,910
2,785,595
$ 18,610
167,100
245,220
242,660
93,990
1,980,425
91,960
526,310
1,850
310,015
1,118,460
149,060
130,225
231,785
81,200
2,714,495
.$ 8.103,365
EXHIBIT "A"
CITY OF SEBASTIAN
GOLF COURSE FUND
REVENUE
Charges for Service
Interest
Loan from General Fund
TOTAL REVENUE
ADOPTED
FY 96 - 97
$1,230,900
31,000
75,000
$1.336.900
AMENDED
FY 96 - 97
$1,273,825
31,000
0
EXPENDITURE
Personal Services
Operating Expenses
Depreciation
Capital Outlay
Debt Service - Principal
Debt Service - Interest
TOTAL EXPENDITURE
Excess of Rev over Expense
$191,580
736,505
150,000
51,215
95,000
112,600
$!,336,900
$ o
183,150
778,880
0
31,755
95,000
112,600
103.44____0_0
EXHIBIT "B"
CITY OF SEBASTIAN
AJRPORT FUND
REVENUE
PROPOSED
FY 96 - 97
AMENDED
FY 96 - 97
Intergovernmental
Charges for Service
interest
Prior Year Balance
TOTAL REVENUE
$ 0
70,770
6,000
242,0~,,0,
$ 318,830
$ 427,500
76,950
4,000
50,8.4.0.
$ 55,5.~ to
EXPENDITURE
Personal Services
Operating Expenses
Depreciation Expense
Capital Outlay
Reserve
$ 17,815
52,250
0
25,000
223,765
18,860
50,600
0
479,500
6,150
TOTAL EXPENDITURE
Excess of Rev over Expense
$ 555,110
$ Q
EXHIBIT "C"
CITY OF SEBASTIAN
SPECIAL REVENUE FUND
REVENUE
Economic Environment
Transfer In from General Fund
TOTAL REVENUE
PROPOSED
FY 96 - 97
510,900
2,270
$, ..5. 13,620
AMENDED
FY 96 - 97
573,688
$ 576 4_.~
EXPENDITURE
Professional Services
Accounting & Auditing
Capital Improvements
TOTAL EXPENDITURE
$ 27,900
2,720
483,620
$ 513.620
80,688
2,720
493,00Q
576.408
EXHIBIT "D"
CITY OF SEBASTIAN
DEBT SERVICE FUND
REVENUE
Special Assessments
Interest
Prior Year Balance
TOTAL REVENUE
EXPENDITURE
Operating Expenses
Principal Retirement
Interest
TOTAL EXPENDITURE
PROPOSED
FY 96 - 97
0
0
0
$ 0
$ 0
0
0
$ 0
AMENDED
FY 96 - 97
51,608
1,619
18,260
1,,487
$ 68
47,539
23,880
$ 71,487
EXHIBIT"E"
DEPARTMENT OF PUBLIC WORKS
PERSONNEL RECLASSIFICATIONS
DEPT.
Admin/Eng
Current Authorization Grade
Eng. Tech ½ Time 23
Eng. Project Coordinator 25
Eng. P/W. Tech Full Time 25
Reclass/Change .... Grade
Eng. Tech Full Time 23
Eng. Tech 23
Eng. Tech ½ Time 25
Roads & Maint Worker I 7 F.T. 14 Maint Worker I 6 F.T. 14
Drainage Laborer 2 F.T. 11 Laborer 3 F.T. 11
Building Maint. Worker I 1 F.T. 14 Maint Worker i 2 F.T. 14
Maintenance Laborer 1 F.T. 11 Laborer 0 F.T.
There is NO CHANGE in the number of personnel in this Exhibit. Each Department
maintains the same number of employees.
Roads & Drainage and Building Maintenance exchange one Maintenance Worker I and
one Laborer between them.
EXHIBIT '~F"