HomeMy WebLinkAboutR-10-01-CRA BudgetCITY OF SEBASTIAN
COMMUNITY REDEVELOPMENT AGENCY
RESOLUTION NO. 10 -01
A RESOLUTION OF THE CITY OF SEBASTIAN COMMUNITY
REDEVELOPMENT AGENCY (CRA) ADOPTING A BUDGET
FOR THE FISCAL YEAR BEGINNING OCTOBER 1, 2010 AND
ENDING SEPTEMBER 30, 2011; MAKING FINDINGS;
AUTHORIZING AMENDMENTS; PROVIDING AN EFFECTIVE
DATE.
WHEREAS, the City Manager of the City of Sebastian has submitted a budget
for the Sebastian Community Redevelopment Agency (CRA) for the Fiscal Year
beginning October 1, 2010 and ending September 30, 2011; and
WHEREAS, the budget includes the estimated expenditures necessary to carry out
the functions of the CRA for the Fiscal Year beginning October 1, 2010, and ending
September 30, 2011; and
WHEREAS, the budget includes the estimated revenues to be received by the CRA
during said period from all sources, including tax increment funding; and
WHEREAS, the CRA has examined and carefully considered the proposed budget
in a duly assembled meeting.
NOW, THEREFORE, BE IT RESOLVED BY THE GOVERNING BOARD OF
CITY OF SEBASTIAN COMMUNITY REDEVELOPMENT AGENCY:
SECTION 1. The City of Sebastian Community Redevelopment Agency does
hereby adopt, confirm and approve the budget attached hereto as Exhibit "A" as the
budget for the CRA for the Fiscal Year beginning October 1, 2010 and ending September
31, 2011.
SECTION 2. The governing board of the CRA does hereby find that:
(a) The budget adopted has been prepared in accordance with generally
accepted accounting principles; and
(b) The estimated revenues to be received by the CRA during the Fiscal Year
beginning October 1, 2010, and ending September 30, 2011 from all sources, including tax
increment funding, equals the total of appropriations for expenditures and reserves in the
budget during said period; and
(c) The budget will regulate expenditures of the CRA and no expenditures or
contracts for expenditures shall be made except in pursuance of budgeted appropriations;
(d) The budget is adopted in accordance with Section 189.418, Florida Statutes.
SECTION 3: In order to effect an orderly year -end closeout of all financial books
and records for the CRA, the City of Sebastian City Manager is hereby authorized and
directed to increase the corresponding line item appropriations in the budget to the extent of
those purchase orders which shall have been issued prior to September 30, 2010, but shall
not have been filled prior to that date, and is authorized and directed to pay all such purchase
orders upon receipt of the goods or services therein specified from the funds so
appropriated. The City of Sebastian City Manager is hereby further authorized and directed
to increase the budget appropriations to the extent of any unexpended balances from state,
federal or other grants as of the end of business on September 30, 2010, and to the extent of
any unexpended balances, whether or not encumbered, outstanding in projects or programs
as of the end of business on September 30, 2010 and all such balances shall be appropriated
to the corresponding accounts in the same funds in which they were outstanding as of
September 30, 2010; and the City Manager shall be authorized to expend such
appropriations for the purposes approved by the CRA in connection with such state, federal
or other grants, and projects. The City Manager shall, prior to December 31, 2010, report to
the CRA all such purchase orders, grants and projects. Corresponding changes in the
anticipated revenue accounts are hereby authorized.
SECTION 4: The City Manager is hereby authorized and directed to maintain and
amend the budget so as to reflect the anticipated revenue and the appropriation of, and
expenditure of, all grant funds and bond proceeds committed to, or received by the CRA
subsequent to September 30, 2010, and prior to October 1, 2011, in accordance with the
directions of the CRA as to the appropriation and expenditure of such grants and bond
proceeds as and when received.
SECTION 6: The City Manager shall have the authority to transfer appropriations
from one line item to another line item of the budget, so long as the total appropriations shall
not be increased thereby. Transactions affecting total appropriations, other than those
authorized herein in other sections shall require the prior approval of the CRA. Any such
transactions are subject to any restrictive statutes or ordinances, including those authorizing
the issuance of any outstanding bonds.
SECTION 7. This Resolution shall become effective October 1, 2010.
The foregoing Resolution was moved for adoption by CRA Board member Hill
The motion was seconded by CRA Board member Wright and, upon being
put into a vote, the vote was as follows:
Richard H. Gillmor, Chairman aye
Jim Hill aye
Andrea B. Coy aye
Don Wright aye
Eugene Wolff aye
The CRA Chairman thereupon declared this Resolution duly passed and adopted this
22 °a day of September, 2010
ATT
SallyA. M.'•
MMC City Clerk
B
CITY OF SEBASTIAN, FLORIDA
c ard H. Gillmor, Chairman
Approved as to form and legality for
the reliance by the City of Sebastian
only:
Robert Ginsburg, City A orney
Account
Number Description
FY06 /07
Actual
FY07 /08
Actual
FY08 /09
Actual
Amended
FY09 /10
Budget
FY09 /10
Projected
FY 10/11
Adopted
Budget
TAXES
r 338200 Tax Increment Revenue Sebastian
r
282,546
250,499
273,888
228,326
223,426
155,427
338200 Tax Increment Revenue Indian River Cty
270,195
252,885
251,236
209,442
206,304
143,515
r
r
r
r
TOTAL TAXES
552,741
503,384
525,124
437,768
429,730
298,942
MIS CELLANEOUS REVENUE
r
361100 Interest Income
33,210
5,454
288
1,767
1,767
440
r
r
361105 SBA Interest Eamings
0
5,436
1,702
1,000
1,000
1,000
369900 Other Miscellaneous Revenue
0
75
0
0
0
0
r
r
r
r
r
r
TOTAL MISCELLANEOUS REVENUE
33,210
10,965
1,990
2,767
2,767
1,440
NON REVENUE SOURCES
r
r
381330 Transfer from Capital Project Fund 330
r
0
0
668,590
0
0
0
389991 Fund Balance Carried Forward
319,551
339,562
0
706,787
307,924
110,345
TOTAL NON REVENUE SOURCES
r 319,551
r 339,562
r 668,590
r 706,787
r 307,924
110,345
r
r
r
r
r
r
TOTAL RIVFRFRONT REDEVELOPMENT
905,502
853,911
1,195,704
1,147,322
740,421
410,727
EXHIBIT "A"
RESOLUTION NO. 10 -01
12010/2011 ANNUAL BUDGET)
COMMUNITY REDEVELOPMENT AGENCY
City of Sebastian Community Redevelopment Agency was created by City Ordinance in 1995,
pursuant to Section 163.387, Florida Statutes. The purpose of the Community Redevelopment
Agency is the removal of blighted areas and the development of such areas, pursuant to the
Community Redevelopment Act of 1969. All revenues and expenditures related to the City's
Community Redevelopment Agency are included in this fund. A transfer is made to General
Fund to offset the additional costs of providing enhanced maintenance of parks and medians
within this area.
COMMUNITY REDEVELOPMENT AGENCY REVENUES
Code: 140010
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Account
Number Description
FY06 /07
Actual
r
r
FY07 /08
Actual
r FY08 /09
r
Actual
Amended
r FY09 /10
Budeet
r FY09 /10
Projected
r FY 10/11
Adopted
Bucket
OPERATING EXPENDITURES
r 533100 Professional Services
5,000
18,400
9,425
5,000
7,000
7,000
533201 Admin Svcs Provided by the GF
36,575
12,826
13,202
13,202
12584
12,584
r 533400 Other Contractual Services
3,000
0
63,200
40,000
40,000
15,000
r 534120 Postage
0
0
35
0
0
0
534315 Public Lighting
14,023
13,743
14,728
14,000
14,850
14,850
534320 Water and Sewer
0
0
297
200
0
0
r 534686 R&M -Park Facilities
0
0
3,849
4,000
2,400
2,500
r 534830 Special Events Expense
18,160
26,798
37,184
31,600
36,468
36,468
534920 Legal Ads
78
1,469
0
0
100
100
r 535200 Departmental Supplies
1,188
962
1,892
1,500
1,000
1,000
535410 Dues Memberships
695
870
670
900
900
1,225
TOTAL OPERATING EXPENDITURES
r 78,719
r
75,068
r 144,482
r 110,402
r 115,302
r 90,727
CAPITAL OUTLAY AND PROJECTS
606100 Land
394,999
0
0
535,520
535,119
0
606310 Improvements Other Than Building
1,500
0
0
5,000
0
0
r 606400 Equipment
99,524
0
0
0
0
0
606900 Infrastructure Yacht Club
29,207
0
0
0
0
0
r 606900 Infrastructure Indian River Drive
84,592
0
0
0
0
0
r 606990 Infrastructure Engineering
0
106,249
0
0
0
0
TOTAL CAPITAL OUTLAY AND PROJECTS
609,822
r
106,249
r 0
r 540,520
r 535,119
0
GRANTS AND AIDS
820100 Facade /Sign Improvement Program
1,560
38,033
22,988
30,000
30,000
30,000
TOTAL GRANTS AND AIDS
1,560
38,033
22,988
r 30,000
r 30,000
30,000
NON OPERATING
909100 Interfund Trfr to General Fund 001
0
0
60,000
60,000
60,000
60,000
r 909132 Interfund Trfr to CIP Fund 320
0
15,000
0
8,778
0
230,000
909133 Interfund Trfr to CIP Fund 330
215,401
619,561
0
397,622
0
0
909990 Unappropriated
0
0
968,234
0
0
0
TOTAL NON OPERATING
215,401
634,561
1,028,234
r 466,400
r 60,000
r 290,000
TOTAL RIVFRFRONT REDEVELOPMENT
r 905,502
r
853,911
r 1,195,704
r 1,147,322
r 740,421
r 410,727
EXHIBIT "A"
RESOLUTION NO. 10 -01
2010/2011 ANNUAL BUDGET
COMMUNITY REDEVELOPMENT AGENCY EXPENDITURES
Code: 140051
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