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RESOLUTION NO. R-05-33
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
SEBASTIAN, INDIAN RIVER COUNTY, FLORIDA ADOPTING
THE TENTATIVE BUDGET FOR THE FISCAL YEAR BEGINNING
OCTOBER 1, 2005 AND ENDING SEPTEMBER 30, 2006; MAKING
APPROPRIATIONS FOR THE PAYMENT OF OPERATING
EXPENSES, CAPITAL EXPENSES, AND FOR THE PRINCIPAL
AND INTEREST PAYMENTS ON THE BOND AND OTHER
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; 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 1,2005, and ending September 30,2006;
and
WHEREAS, on September 8, 2005, the City Council conducted Public Hearings on
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 Tentative Budget is hereby adopted for the Fiscal
Year beginning October 1, 2005 and ending September 30, 2006, subject to final hearing
on September 20,2005.
Section 2. The amounts shown on the attached Schedule "A" are to be 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 shall be 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 shall be authorized to make budget adjustments within
budgetary accounts, as he deems appropriate. He shall be 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 prior 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. All Resolutions or parts of Resolutions in conflict herewith are hereby
repealed to the extent of such conflict.
Section 7. This Resolution shall become effective upon passage.
The foregoing Resolution was moved for adoption by Councilmember M 0 n i e r
The motion was seconded by Councilmember N e g 1 i a and, upon being put
into a vote, the vote was as follows:
Mayor Nathan McCollum
Vice-Mayor Brian Burkeen
Councilmember Lisanne Monier
Councilmember Andrea Coy
Councilmember Sal Neglia
aye
aye
aye
aye
aye
The Mayor thereupon declared this Resolution duly passed and adopted this 8th day of
September, 2005.
By:
~~:~FLORIDA
Nathan McCollum, Mayor
A
ClrJ
?
io, MMC City Clerk
Approved as to form and legality for the
reliance by the City of Sebastian only:
1\~ ~
Rich Stringer, City Attorney
GENERAL FUND
REVENUES:
001501
001501
001501
001501
001501
001501
001501
001501
EXPENDITURES:
010001
010005
010009
010010
010020
010021
010035
010040
010041
010042
010043
010044
010045
010046
010047
010048
010049
010051
010053
010052
010054
010056
010057
010059
010080
010099
ATTACHMENT TO RESOLUTION R-05-33
SCHEDULE "A"
BUDGET SUMMARY
FISCAL YEAR 2005/2006
Taxes and franchise fees
Licenses and permits
Intergovernmental
Charges for services
Fines and forfeits
Miscellaneous
Transfers in
Restricted cash balance carryforward
Total Revenues
City Council
City Manager
City Clerk
City Attorney
Finance
Management Information System
Human Resources
Police Special Operations
Police Administration
Police School Resource
Police Patrol Division
Cornmunity Policing Unit
Code Enforcement Division
Professional Standards
Police Detective Division
Police Support Services
Police Dispatch Unit
Engineering
Stormwater Utility
Roads and Maintenance
Garage
Building Maintenance
Parks and Recreation
Cemetery
Growth Management
Non-departmental
Total Expenditures
$ 7,131,374
243,280
2,288,405
481,669
71,625
167,720
643,362
947,706
$ 11,975,141
$ 41,244
238,145
333,135
189,906
426,647
193,918
217,526
345,957
198,772
175,525
1,839,690
139,592
157,102
112,096
494,510
292,968
409,027
480,215
1,276,957
874,062
196,463
219,003
964,323
147,226
279,896
1,731,236
$ 11,975,141
ATTACHMENT TO RESOLUTION R-05-33
SCHEDULE "A"
BUDGET SUMMARY
FISCAL YEAR 2005/2006
SPECIAL REVENUE FUNDS
120010
120051
130010
130051
160010
160051
163010
163051
LOCAL OPTION GAS TAX FUND
REVENUES
Taxes
Miscel1aneous
Cash balance carryforward
Total Revenues
EXPENDITURES
Operating
Debt service
Transfers out
Total Expenditures
DISCRETIONARY SALES TAX FUND
REVENUES
Taxes
Miscellaneous
Total Revenues
EXPENDITURES
Transfers out
Non-operating
Total Expenditures
RECREATION IMPACT FEE FUND
REVENUES
Impact fee
Miscel1aneous
Total Revenues
EXPENDITURES
Transfers out
Non-operating
Total Expenditures
STORMW ATER UTILITY FUND
REVENUES
Stormwater utility fee
Miscellaneous
Total Revenues
EXPENDITURES
Operating
Transfers out
Total Expenditures
2
$ 760,000
12,000
37,129
$ 809,129
$ 209,129
300,000
300,000
$ 809,129
$ 2,500,000
25,000
$ 2,525,000
$ 1,727,787
797,213
$ 2,525,000
$ 360,000
12,000
$ 372,000
$ 245,000
127,000
$ 372,000
804,980
30,200
$ 835,180
$ 3,500
831,680
$ 835,180
ATTACHMENT TO RESOLUTION R-05-33
SCHEDULE "A"
BUDGET SUMMARY
FISCAL YEAR 2005/2006
SPECIAL REVENUE FUNDS - CONTINUED
LAW ENFORCEMENT FORFEITURE FUND
190010 REVENUES
Fines and forfeits
Miscellaneous
Total Revenues
190051
191010
191051
EXPENDITURES
Operating
Total Expenditures
G.R.E.A.T. PROGRAM FUND
REVENUES
Intergovernmental Revenue
Total Revenues
EXPENDITURES
Operating
Total Expenditures
DEBT SERVICE FUNDS
230010
230051
263010
263051
DISCRETIONARY SALES SURTAX REVENUE BONDS
REVENUES
Miscellaneous
Transfers in
Total Revenues
EXPENDITURES
Operating
Debt service
Reserve
Total Expenditures
STORMW ATER UTILITY REVENUE BONDS
REVENUES
Miscellaneous
Transfers in
Total Revenues
EXPENDITURES
Debt service
Total Expenditures
3
$
5.000
5,000
10,000
$
$
10,000
10,000
$
9,894
9,894
$
$
9,894
9,894
7,700
1,032,844
$ 1,040,544
$ 300
$ 1,035,544
$ 4,700
$ 1,040,544
280
437,568
$ 437,848
$ 437,848
$ 437,848
ATTACHMENT TO RESOLUTION R-05-33
SCHEDULE "A"
BUDGET SUMMARY
FISCAL YEAR 2005/2006
CAPITAL PROJECTS FUNDS
REVENUES
Transfer from Local Option Gas Tax Fund
Transfer from Discretionary Sales Tax fund
Transfer from Recreation Impact Fee Fund
Total Revenues
EXPENDITURES
Roads projects
Recreation facilities projects
Public facilities
Debt service
Total Expenditures
GOLF COURSE FUND
410010 REVENUES:
Charges for services
Miscellaneous revenues
Total Revenues
410110
EXPENSES:
GOLF COURSE ADMINISTRATION
Personal services
Operating expenses
Debt service
Contingency/Reserve
Total Administration
410120
GOLF COURSE GREEN DIVISION
Operating expenses
Total Golf Course Green Division
410130
GOLF COURSE CARTS DIVISION
Personal services
Operating expenses
Capital outlay
Total Golf Course Carts Division
Total Golf Course Expenses
4
300,000
454,693
245,000
$ 999,693
300,000
245,000
300,000
$ 154,693
$ 999,693
$
1,588,584
20,000
1,608,584
$
$ 306,214
320,011
307,190
16,574
$ 949,989
545,571
$ 545,571
56,374
54,450
2,200
$ 113,024
$ 1,608,584
ATTACHMENT TO RESOLUTION R-05-33
SCHEDULE "A"
BUDGET SUMMARY
FISCAL YEAR 2005/2006
AIRPORT FUND
450010 REVENUES
Charges for services
Miscellaneous revenues
Total Revenues
450110
EXPENSES:
Personal services
Operating expenses
Contingency/Reserve
Total Expenses
BUILDING DEPARTMENT
480010 REVENUES
Charges for services
Transfer from General Fund
Miscellaneous revenues
Total Revenues
480110
EXPENSES:
Personal services
Operating expenses
Capital outlay
Contingency/Reserve
Total Expenses
TOTAL BUDGET SUMMARY
GENERAL FUND
SPECIAL REVENUE FUNDS
DEBT SERVICE FUNDS
CAPITAL PROJECT FUNDS
ENTERPRISE FUNDS
TOTAL BUDGET FOR ALL FUNDS
5
$ 390,551
16,250
$ 406,80 I
$ 205,854
157,284
43,663
$ 406,80 I
$ 1,178,600
$ 802,490
24,000
$ 2,005,090
$ 623,235
275,971
39,900
1,065,984
$ 2,005,090
$ 11,975,141
4,561,203
1,478,392
999,693
4,020,475
$ 23,034,904