HomeMy WebLinkAbout13-14-FY 2nd QuarterRESOLUTION NO. R -14 -09
A RESOLUTION OF THE CITY OF SEBASTIAN, INDIAN RIVER COUNTY, FLORIDA
AMENDING THE BUDGET FOR THE FISCAL YEAR BEGINNING OCTOBER 1, 2013 AND
ENDING SEPTEMBER 30, 2014 AS PROVIDED FOR IN EXHIBIT "A "; PROVIDING FOR
CONFLICTS; AND PROVIDING FOR AN EFFECTIVE DATE.
WHEREAS, the City of Sebastian adopted Resolution No. R -13 -23 on September 25, 2013
approving the City's 2013 -14 budget, also referred to as the Annual Budget Resolution; and
WHEREAS, the City of Sebastian adopted Resolution R -14 -05 on March 12, 2014 amending said
Resolution; and
WHEREAS, an analysis of the revenues and expenditures for the three (3) months that ended
March 31, 2013 indicated that no additional adjustments need approval by the City Council; and
WHEREAS, the City Council and City Manager have previously approved any other necessary
adjustments in accordance with the Annual Budget Resolution;
NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SEBASTIAN,
INDIAN RIVER COUNTY, FLORIDA, THAT:
Section 1. The budget of the City of Sebastian, Indian River County, Florida for the Fiscal Year beginning
October 1, 2013 and ending September 30, 2014 be amended as necessary, a summary of such amendments
being attached hereto and more particularly identified as Exhibit "A ", the revised appropriations, if any, are set
out therein and are hereby made to maintain and carry on the government of the City of Sebastian, Indian River
County, Florida.
Section 2. All resolutions or parts of resolutions in conflict herewith are hereby repealed.
Section 3. This Resolution shall become effective immediately upon its adoption.
It was moved for adoption by Councilmember
The motion was seconded by Councilmember
was as follows:
Mayor Bob McPartlan
Vice -Mayor Jim Hill
Councilmember Andrea Coy
Councilmember Jerome Adams
Councilmember Richard Gillmor
McPartlan
aye
aye
aye
aye
aye
and, upon being put to a vote, the vote
The Mayor thereupon declared this Resolution duly passed and adopted this 28th day of May 2014.
ATTEST:
Sally A. Ma' , MMC
City Clerk
CITY OF SEBASTIANpF), RIDA B
By
Mayor Bob McPartlan
Approved as to form and content for
reliance by the City of Sebastian only:
Robert A. Ginsburg,
City Attorney
EXHIBIT "A" of RESOLUTION R -14 -09
SUMMARY OF BUDGET CHANGES
FOR THE QUARTER ENDED MARCH 31, 2014
Amounts
Changes Authorized by City Manager:
Transfer within City Manager budget to cover cost of a flat screen TV for the City Hall main $ 1,300
lobby.
Adjustment to record donation from the Sebastian Clambake Foundation for the Working
$ 15,000
Waterfront Museum and establish a budget account for the expenditure.
Adjustment to close the Barber Street Bridge guardrail replacement project.
$ 1,162
Adjustment to close the Schumann Park improvements project.
$ 2,439
Adjustment to account categories established for the Presidential Streets project.
$ 862,132
Transfers within the City Manager budget for a flat screen TV for the City Manager's office and
$ 1,675
between the Airport Fund for a flat screen TV for the Airport's offices.
Transfers within the Cemetery budget to cover the cost of relocating a roadway at the
$ 8,590
Cemetery.
Adjustment to record the trade in of two Police motorcycles.
$ 11,500
Adjustment to close the Community Center Playground project.
$ 1,600
Transfers within the City Clerk budget for two flat screen TVs for the City Council Chambers.
$ 2,520
Transfers within Public Works budget for application on a grant for baffle box.
$ 1,500
Adjustment to record donation from the Senior Activity Center for the Working Waterfront
$ 500
Museum and establish a budget account for the expenditure.
Transfers within the Cemetery budget to cover the cost of sod for the new Cemetery roadway.
$ 1,400
Adjustment to establish a budget for the Airport Hanger C Development project.
$ 875,000
Transfers within the Fleet Maintenance budget to cover the cost of replacing a printer.
$ 520
Transfers within the Police Department budget to cover overages in various accounts.
$ 10,519
Additional transfers within the Police Department budget to cover overages in various
$ 823
accounts.
Adjustment to reflect balances remaining from FY 2013 in the HRA accounts.
$ 63,300
Transfers within the Fleet Maintenance budget to cover cost of Management Plus Software
$ 449
maintenance charges.
Transfers within Public Works budget to cover the cost of a rack for a truck.
$ 310
Page 1 of 2
Changes Approved by City Council:
Transfer between Public Works accounts to fund salaries and benefits for a Maintenance
Worker II position in the Facilities Maintenance Division, as authorized at the 11/13/13 City
Council meeting.
Establish budget account to purchase Capers System for the Police Department from
Forfeitures Account, as approved by the City Council on 12/23/13.
Establish budget account to purchase weapons for the Police Department from the Forfeitures
Account, as approved by the City Council on 12/23/13.
Establish budget accounts for the FIND Grant award to make the Working Waterfront Fish
House improvements, as approved by the City Council on 10/23/13.
Addition of additional funding for the Barber Street Football Field Restrooms project, as
approved by the City Council on 03/12/14.
Additional funding for purchase of backhoe and barricade trailer, as approved by City Council
on 03/12/14.
Additional Changes Submitted for City Council Approval:
None.
$ 30,875
$ 11,000
$ 11,093
$ 157,350
$ 35,000
$ 30,881
Page 2 of 2
CITY OF SEBASTIAN
QUARTERLY FINANCIAL REPORT
EXECUTIVE SUMMARY
OVERVIEW
THE OVERALL STATUS AT THE END OF THE 2ND QUARTER APPEARS NORMAL FOR THIS POINT IN THE YEAR. GENERAL
FUND REVENUES, EXPENDITURES AND CASH RESERVES ARE IN LINE WITH EXPECTATIONS. GOLF COURSE OPERATING
REVENUES CONTINUE TO DECLINE, REVENUES AND EXPENSES AT THE AIRPORT ARE LESS THAN LAST YEAR AT THIS
TIME, DUE TO GRANT ACTIVITY. BUILDING FUND REVENUES ARE SLIGHTLY DOWN AS COMPARED TO THE 2N° QUARTER
OF LAST YEAR, MOSTLY BECAUSE BUSINESS TAX REVENUES WERE MOVED BACK TO GENERAL FUND.
GENERAL FUND
The graph below and left compares General Fund Revenues, Expenditures and Total Cash Reserves at the end of the current quarter to the end of the
prior fiscal year. Calculated Reserves balances increased, as is normal with the receipt of property tax revenues. The graph below and right compares
the 2"d quarter of this year to the 2nd quarter of the prior 2 years. Revenues and amounts Expended are a bit higher than prior years' second quarters.
12,000,000 _
10,000,000
6,000,000 _
6,000,000
4,000,000
2,000,000
0
Revenues 77E.p,,'d Reserves
9rdOt2013 10,216,238 9,750,951 5,469,458
3131!2014 5,911,966 5,019,473 8,361,951
7,000,000
3,000,900 -
2,500,000
6,000,000
- — -
1,500.000
5,000,000
Soo 000
r;
vads
4,000,000y�
�c' Qad �c
310001000
;ea
2,000,000
1,000,000
0
Revenues
Expended
Reserves
■3131!2012
5,314,684 4,932,687
5,484,454
■3r31ROf3
5,837,9181 4,837,152
5,802,937
03131/2014
5,911,966 5,019,473
6,361,951
The graph below and left shows collections through the 2nd quarter of the three main sources of General Fund Revenue and of those three as a total.
Those three sources and property taxes are 72% of all budgeted revenue. About $155,000 more was received from those three sources in the first six
months as compared to last year, primarily due to unusually high receipts from FP&L. The graph below and right shows the percentage of budgeted
expenditures by department at the end of the 2 "d quarter. In total, all departments expended 44.4% of amounts budgeted.
4,000,000 _
3,500,000
3,000,000
2,500,000
2 000 000
1,500,000 _
1,000,000
500,000
0
2nd Qtr 2013 2nd Qtr 2014 2014 Budget 2014 Projection
13 Electric Franchise It Electric Utility Tax ■ Half -cent Sales Tax ❑Totals of =the
KU 090 G� pc� °'S,,�� �5`OC ao� a�'S gnx zc�a\
6AY G 4an C;,i MI . . S tA�ya OeQaq d�G �a�a9 'Deg
a� CIN
A Qa�� Gto
SPECIAL REVENUE FUNDS AND CAPITAL PROJECTS
Special Revenue Funds provide most of the monies needed for capital projects. The graph below and left shows collections through the 2 "4 quarter of
the current year to the 2 "d quarter of last year and shows the current annual budget and staff's projection for next year for Local Option Gas Taxes
(LOGT), Discretionary Sales Tax (DST) and Stormwater Fees. All collections are close to budget expectations. The graph below and right shows the
totals budgeted this year for capital projects, as compared to amounts spent through the end of the 2 "d quarter. It reflects the large unexpended amounts
for the Computer System Overhaul, Presidential Streets, Fish House, Tulip Drive, plus the Airport's Main Street Access Road and flanger projects.
3,000,000
2,500,000
2,00,000
1,5W,000
1,000,000
500,000
LOGT DST StorrvaterFee
132nd 0V 2013 ■2nd 002014 02014 budget ■2014 projection
3,500,000 �
3,000,900 -
2,500,000
2,000,000
- — -
1,500.000
1,000,009
Soo 000
E� Z71
vads
sia F'e$S ees SSa1' �GE'�'
FGa
�c' Qad �c
Page I of 2
CITY OF SEBASTIAN
QUARTERLY FINANCIAL REPORT
EXECUTIVE SUMMARY (CONTINUED)
DEBT SERVICE FUNDS AND LONG -TERM DEBT
The City's debt is accounted for in the two Debt Service Funds. They are the Discretionary Sales Tax Bank Note ($2,893,000 outstanding, maturing
4101/17) and the Stormwater Revenue Bank Note ($3,096,000 outstanding, maturing 5/01122). The City refunded the previously issued bonds with
Bank Notes on December 18, 2013, The City also has a Bank Note for Street Repaving ($1,998,000 outstanding, maturing 12/01/22) and a Bank Loan
for Golf Course Equipment ($38,380 outstanding, maturing 12/06/15) and for Golf Carts ($287,686 outstanding, maturing 10/31/17). The City is in
compliance with covenants and repayment requirements on all these obligations.
GOLF COURSE
The graph below and left compares Golf Course Revenues, Expenses and Reserves at the end of the 2nd quarter this year to the end of the prior fiscal
year. The ,graph below and right compares Revenues, Expenses and Reserves for the Zed quarter of the current year to the 2nd quarter of the prior two
years. The Golf Cart and Golf Equipment Bank Loans have been omitted from the totals. Reserves are net of liabilities for accrued leave and advance
payment of fees (about $90,000).
1,700,000
300,009
-V
1.200,000
700.000
-
z00.000
100,000
600 000
(30(%0W)
Revenues
Expended Reserves
i
913020113
1,340,948
1,475,051
(319:061)
3!31!2014
679,423
844,906
(1,720}
1.000,000
800.000
600,000
000.000 1
200,000
a
(2aa.a00( -
Revenues Expended Reserves
1113/342012 9318,683 647,056 68,243
■3/312013 866,043 709,592 53.923
{0313112014 844,908 679,423 (1.720)
AIRPORT
The graph below and left compares Airport Revenues, Expenses and Reserves at the end of the 2 "d quarter to the end of the prior fiscal year. The graph
below and right compares the 2 "d quarter of the current year to the 2nd quarter of the prior two years. Reserves are net of liabilities for accrued leave
(about $58,000) but not long -term advances from other Funds, which currently amount to $752,511.
1,000,000
800,000
600,000
400,000
200,000
0
(200,000) Revenues Expended Reserves
9130/2013 794,498 809,024 (80,618)
3/31/2014 245,649 219,719 (41,883)
400,000
300,009
- -
200,000
-
100,000
600 000
0
i
-
(100,000)
200,aaa
Revenues
Expended
Reserves
Reserves
■313111012
378255
304,243
(47,006)
504,9a1
1111313112013
354,106
347,372
(57,744)
03/312014
1133131014
245,649
219,719
(41,883)
BUILDING
The graph below and left compares Building Department Revenues, Expenses and Reserves at the end of the 2 "d quarter to the end of the prior fiscal
year. The graph below and right compares the 2nd quarter of the current year to the 2nd quarter of the prior two years. 2 "d quarter Reserves are higher
than shown for the 2 "d quarter for several years due to increased activity. Reserves are net of liabilities for accrued leave (about $99,000).
1.000,000
800.000
600,000
400,000 X.
z0a,a00
a
(200,000)
Revenues Expended Reserves
rU31/2014 302013 710,960 423,100 775,254
1 328,424 242,744 067,371
1,000.000
800,000
600 000
400,000
200,aaa
0
Reverwes-T
Expended
Reserves
■313112012
241,629
197,891
504,9a1
■31312013
359,893
196,261
651,025
03/312014
1 328,424
242,744
067,371
Page 2 of 2
CITY OF SEBASTIAN
FUND SUMMARIES
QUARTER ENDING 03/31/14
2010/2011
2011/2012
2012/2013
2013/2014
2013/2014
2013/2014
2nd QTR
2nd QTR
2nd QTR
2nd QTR
ANNUAL
PERCENT
ACTUALS
ACTUALS
ACTUALS
ACTUALS
BUDGET
DFBUDGET
GENERALFUND
TAXES
- 4,201,951.52
- 3,888,945.20
- 4,112,452.41
- 4,230,041.08
- 6,578,240.00
64.30%
LICENSES & PERMITS
- 12,424.50
- 13,225.50
- 18,730.50
- 99,569.06
- 149,050.00
66.80%
INTERGVT'L REVENUE
- 770,955.09
- 800,481.37
- 840,493.20
- 888,206.53
- 2,048,300.00
43.36%
CHARGES FOR SERVICE
- 134,575.76
- 145,026.53
- 180,827.90
- 193,952.12
- 373,556.00
51.92%
FINES AND FORFEITS
- 37,322.79
- 31,377.83
- 31,447.53
- 32,879.77
- 65,400.00
50.27%
MISC. REVENUE
- 109,812.61
- 90,058.36
- 173,966.09
- 154,762.77
- 214,850.00
72.03%
TRANSFERS IN
- 368,363.58
- 345,569.06
- 280,000.02
- 312,555.00
- 630,748.00
49.55%
FROM FUND BALANCES
0.00
0.00
0.00
0.00
- 98,300.00
0.00%
GENERAL FUND REVENUE
- 5,635,405.85
- 5,314,683.85 - 5,637,917.65 - 5,911,966.33 - 10,158,444.00
58.20%
CITY COUNCIL
21,583.62
22,836.08
24,174.72
22,349.90
53,724.00
41.60%
CITY MANAGER
104,272.17
108,976.30
109,898.72
144,283.07
238,389.00
60.52%
CITY CLERK
128,773.24
165,432.29
161,816.08
145,375.43
286,600.00
50.72%
LEGAL
48,916.86
48,855.07
40,179.82
54,717.79
102,270.00
53.50%
FINANCE /ACCOUNTING
246,058.52
257,340.53
261,465.75
271,97417
503,521.00
54.01%
M.I.S. DIVISION
114,495.73
86,999.52
77,794.63
76,649.00
225,341.00
34.01%
POLICE ADMINISTRATION
280,653.32
322,448.58
286,099.16
308,909.18
634,481.00
48.69%
POLICE PATROL
1,192,977.50
1,171,372.16
1,198,599.32
1,189,763.52
2,361,717.00
50.38%
CODE ENFORCEMENT DIVISIO
73,395.11
80,506.90
79,858.65
83,457.76
168,792.00
49.44%
POLICE INVESTIGATIONS
441,963.10
349,293.48
307,843.77
362,167.27
700,568.00
51.70%
POLICE COMMUNICATIONS
219,736.49
250,547.47
222,329.03
245,460.37
546,579.00
44.91%
ROADS AND DRAINAGE
348,934.68
344,117.27
377,768.89
386,275.14
794,114.00
48.64%
STORMWATER UTILITY DIVIS
479,220.15
443,248.68
361,840.57
425,043.09
970,063.00
43.82%
CENTRAL GARAGE
59,907.05
93,756.52
100,385.11
95,442.78
215,996.00
44.19%
FACILITIES MAINTENANCE
95,243.29
118,683.74
132,336.25
93,823.66
339,983.00
27.60%
PARKS /RECREATION
420,586.99
441,568.59
440,535.92
454,691.66
914,080.00
49.74%
CEMETERY
47,735.57
63,078.05
59,738.88
90,655.16
186,122.00
48.71%
GROWTH MANAGEMENT
165,922.89
116,977.74
116,264.04
93,729.32
195,222.00
48.01%
NON - DEPARTMENTAL
381,680.37
446,647.65
478,222.47
474,704.81
720,882.00
65.85%
GENERAL FUND EXPENDITURES
4,872,056.65
4,932,686.62
4,837,151.78
5,019,473.18
10,158,444.00
49.41%
LOCAL OPTION GAS TAX
TAXES
- 235,440.03
- 239,701.95
- 234,203.77
- 230,211.92
- 544,000.00
42.32%
INTERGVTL REVENUE
0.00
0.00
0.00
0.00
- 9,474.00
0.00%
MISC. REVENUE
- 1,144.01
-13.32
-85.02
- 2,912.61
- 1,656.00
175.88%
FROM FUND BALANCES
0.00
0.00
0.00
0.00
- 10,611.00
0.00%
LOGT FUND REVENUE
- 236,584.04
- 239,715.27
- 234,288.79
- 233,124.53
- 565,741.00
41.21%
OPERATING EXPENSES
105,413.94
98,595.10
95,818.50
77,427.92
248,000.00
31.22%
DEBT SERVICE
132,207.38
132,782.83
122,240.69
121,360.30
242,741.00
50.00%
GRANTS AND AIDS
50,000.00
50,000.00
0.00
0.00
0.00
0.00%
TRANSFERS OUT
949,586.50
62,500.02
200,015.71
0.00
75,000.00
0.00%
LOCAL OPTION GAS TAX
1,237,207.82
343,877.95
418,074.90
198,788.22
565,741.00
35.14%
DISCRETIONARY SALES TAX
TAXES
- 978,639.77
- 1,012,948.89
- 1,067,514.98
- 1,105,651.39
- 2,596,325.00
42.59%
MISC. REVENUE
- 518.72
- 2,221.31
- 2,254.63
- 2,861.44
- 27,658.00
10.35%
FROM FUND BALANCES
0.00
0.00
0.00
0.00
- 1,274,777.00
0.00%
DST FUND REVENUE
- 979,158.49 - 1,015,170.20 - 1,069,769.61 - 1,108,512.83
- 3,898,760.00
28.43%
TRANSFERS OUT
909,190.60
1,418,279.80
924,505.95
940,984.37
3,870,270.00
24.31%
TO FUND BALANCES
0.00
0.00
0.00
0.00
28,490.00
0.00%
DISCRETIONARY SALES TAX
909,190.60
1,418,279.80
924,505.95
940,984.37
3,898,760.00
24.14%
RIVERFRONT REDEVELOPMENT FUND
MISC. REVENUE
- 1,450.19
- 1,163.06
- 300.90
- 8,569.60
- 1,936.00
442.64%
TRANSFERS IN
- 297,619.74
- 255,068.85
- 266,323.21
- 272,060.44
- 265,466.00
102.48%
FROM FUND BALANCES
0.00
0.00
0.00
0.00
- 380,053.00
0.00%
RRD REVENUE
- 299,069.93
- 256,231.91
- 266,624.11
- 280,630.04
- 647,455.00
43.34%
OPERATING EXPENSES
60,134.05
65,324.55
65,596.39
63,787.45
157,495.00
40.50%
GRANTS AND AIDS
40,875.02
17,000.00
0.00
0.00
130,000.00
0.00%
TRANSFERS OUT
207,085.02
32,840.96
33,353.60
30,000.00
359,960.00
8.33%
RRD EXPENDITURES
308,094.09
115,165.51
98,949.99
93,787.45
647,455.00
14.49%
CITY OF SEBASTIAN
FUND SUMMARIES
QUARTER ENDING 03/31/14
STORMWATER UTILITY FUND
MISC. REVENUE
2010/2011
201112012
2012/2013
201312014
2013/2014
2013/2014
FROM FUND BALANCES
2nd QTR
2nd QTR
2nd QTR
2nd QTR
ANNUAL
PERCENT
STORMWATER FUND REVENUE
ACTUALS
ACTUALS
ACTUALS
ACTUALS
BUDGET
OF BUDGET
PARKING IN LIEU OF FUND
0.00
0.00
24,443.07
24,794.39
25,100.00
98.78%
MISC. REVENUE
- 5,740.54
- 6,909.22
- 6,924.58
- 10,056.94
- 13,861.00
72.56%
PARKING IN LIEU OF REVENUE
- 5,740.54
- 6,909.22
- 6,924.58
- 10,056.94
- 13,861.00
72.56%
TO FUND BALANCES
0.00
0.00
0.00
0.00
13,861.00
0.00%
PARKING IN LIEU OF EXPENDITURES
0.00
0.00
0.00
0.00
13,861.00
0.00%
RECREATION IMPACT FEE FUND
MISC. REVENUE
- 13,722.32
- 27,391.89
- 70,735.43
- 78,943.27
- 36,569.00
215.87%
FROM FUND BALANCES
0.00
0.00
0.00
0.00
- 252,751.00
0.00%
RECREATION IMPACT FEE REVENUE
- 13,722.32
- 27,391.89
- 70,735.43
- 78,943.27
- 289,320.00
27.29%
OPERATING EXPENSES
0.00
0.00
0.00
550.00
10,000.00
5.50%
CAPITAL OUTLAY
0.00
0.00
5,522.91
0.00
0.00
0.00%
TRANSFERS OUT
57,253.94
89,754.50
100,591.06
72,271.26
279,320.00
25.87%
RECREATION IMPACT FEE
57,253.94
89,754.50
106,113.97
72,821.26
289,320.00
25.17%
STORMWATER UTILITY FUND
MISC. REVENUE
- 693,837.33
- 683,596.88
- 882,740.63
- 876,813.04
- 983,721.00
89.13%
FROM FUND BALANCES
0.00
0.00
0.00
0.00
- 76,099.00
0.00%
STORMWATER FUND REVENUE
- 693,837.33
- 683,596.88
- 882,740.63
- 876,813.04
- 1,059,820.00
82.73%
OPERATING EXPENSES
0.00
0.00
24,443.07
24,794.39
25,100.00
98.78%
TRANSFERS OUT
469,438.56
620,337.61
469,704.00
502,861.02
1,034,720.00
48.60%
STORMWATER FUNE EXPENDITURES
469,438.56
620,337.61
494,147.07
527,655.41
1,059,820.00
49.79%
LAW ENFORCEMENT FORFEITURE FUND
FINES AND FORFEITS
- 800.00
0.00
0.00
- 500.00
- 8,000.00
6.25%
MISC. REVENUE
-80.78
-84.66
-84.66
- 194.73
- 2,185.00
8.91%
FROM FUND BALANCES
0.00
0.00
0.00
0.00
- 22,093.00
0.00%
FORFEITURE REVENUE
- 880.78
-84.66
-84.66
- 694.73
- 32,278.00
2.15%
OPERATING EXPENSES
1,260.34
0.00
0.00
592.56
11,093.00
5.34%
CAPITAL OUTLAY
5,881.00
0.00
0.00
11,000.00
11,000.00
100.00%
TO FUND BALANCES
0.00
0.00
0.00
0.00
10,185.00
0.00%
FORFEITURE EXPENDITURES
7,141.34
0.00
0.00
11,592.56
32,278.00
35.91%
DST DEBT SERVICE FUND
MISC. REVENUE
- 2,166.00
- 5,758.57
- 2,541.25
- 39,837.70
- 4,966.00
802.21%
TRANSFERS IN
- 498 ,778.50
- 498,695.52
- 497,310.48
- 506,246.52
- 1,012,493.00
50.00%
DST DEBT SERVICE REVENUE
- 500,944.50
- 504,454.09
-499,851.73
- 546,084.22
- 1,017,459.00
53.67%
OPERATING EXPENSES
675.00
300.00
675.00
0.00
300.00
0.00%
DEBT SERVICE
897,840.63
915,138.13
925,595.63
2,013,840.20
1,016,644.00
198.09%
TO FUND BALANCES
0.00
0.00
0.00
0.00
515.00
0.00%
DST DEBT SERVICE EXPENDITURES
898,515.63
915,438.13
926,270.63
2,013,840.20
1,017,459.00
197.93%
STORMWATER DEBT SERVICE FUND
MISC. REVENUE
- 110.10
-91.54
- 373.10
- 39,112.79
- 171.00
0.00%
TRANSFERS IN
- 219,438.54
- 219,261.48
- 219,703.98
- 220,860.00
- 441,720.00
50.00%
FROM FUND BALANCES
0.00
0.00
0.00
0.00
- 599.00
0.00%
STORMWATER DEBT SERVICE REVENUE
- 219,548.64
- 219,353.02
- 220,077.08
- 259,972.79
- 442,490.00
58.75%
DEBT SERVICE
439,410.00
79,998.75
74,398.75
329,625.35
442,490.00
74.49%
STORMWATER DEBT EXPENDITURES
439,410.00
79,998.75
74,398.75
329,625.35
442,490.00
74.49%
CITY OF SEBASTIAN
FUND SUMMARIES
QUARTER ENDING 03131/14
AIRPORT FUND
CHARGES FOR SERVICE
2010/2011
2011/2012
201212013
2013/2014
2013/2014
2013/2014
MISC. REVENUE
2nd QTR
2nd QTR
2nd QTR
2nd QTR
ANNUAL
PERCENT
AIRPORT FUND REVENUE
ACTUALS
ACTUALS
ACTUALS
ACTUALS
BUDGET
DF BUDGET
GOLF COURSE FUND
482,602.83
218,971.69
205,846.56
188,112.07
423,236.00
44.45%
CHARGES FOR SERVICE
- 871,224.42
- 903,171.97
- 839,781.15
- 807,784.61
- 1,302,250.00
62.03%
MISC. REVENUE
- 16,754.55
- 26,776.89
- 78,869.43
- 493,408.44
- 373,860.00
131.98%
GOLF COURSE FUND REVENUE
- 887,978.97
- 929,948.86
- 918,650.58 - 1,301,193.05
- 1,676,110.00
77.63%
ADMINISTRATION
274,339.65
292,595.19
323,041.84
445,591.76
602,115.00
74.00%
MAINTENANCE
273,316.78
272,403.13
285,984.79
289,452.73
600,126.00
48.23%
GOLF COURSE CARTS
67,323.85
73,443.47
76,736.67
62,053.42
473,869.00
13.10%
GOLF COURSE FUND EXPENSES
614,980.28
638,441.79
685,763.30
797,097.91
1,676,110.00
47.56%
AIRPORT FUND
CHARGES FOR SERVICE
- 6,295.93
- 8,152.30
- 3,391.01
- 5,035.65
- 25,000.00
20.14%
MISC. REVENUE
- 189,130.75
- 203,875.95
- 214,401.95
- 221,987.63
- 418,236.00
53.08%
AIRPORT FUND REVENUE
- 195,426.68
- 212,028.25
- 217,792.96
- 227,023.28
- 443,236.00
51.22%
ADMINISTRATION
482,602.83
218,971.69
205,846.56
188,112.07
423,236.00
44.45%
ECONOMIC DEVELOPMENT
0.00
0.00
742.46
12,637.80
20,000.00
63.19%
AIRPORT FUND EXPENSES
482,602.83
218,971.69
206,589.02
200,749.87
443,236.00
45.29%
BUILDING FUND
LICENSES & PERMITS
- 228,957.08
- 233,913.26
- 350,863.06
- 311,976.57
- 539,650.00
57.81%
CHARGES FOR SERVICE
- 1,808.68
- 2,909.23
- 5,964.30
- 5,975.45
- 12,250.00
48.78%
FINES AND FORFEITS
- 1,859.18
- 2,893.00
- 1,870.68
- 8,372.00
- 3,850.00
217.45%
MISC. REVENUE
- 906.36
- 1,913.84
- 1,194.49
- 2,100.21
- 2,250.00
93.34%
BUILDING FUND REVENUES
- 233,531.30
- 241,629.33
- 359,892.53
- 328,424.23
- 558,000.00
58.86%
PERSONAL SERVICES
166,373.91
152,891.27
155,263.84
167,917.83
381,352.00
44.03%
OPERATING EXPENSES
47,546.77
44,999.81
40,996.84
42,271.37
83,515.00
50.62%
TRANSFERS OUT
0.00
0.00
0.00
32,554.98
65,110.00
50.00%
TO FUND BALANCES
0.00
0.00
0.00
0.00
28,023.00
0.00%
BUILDING FUND EXPENSES
213,920.68
197,891.08
196,260.68
242,744.18
558,000.00
43.50%
CITY OF SEBASTIAN
GENERAL FUND DEPARTMENTS
QUARTER ENDING 03/31/14
2010/2011 2011/2012 2012/2013 201312014 2013/2014 2013/2014
2nd QTR 2nd QTR 2nd QTR 2nd QTR ANNUAL PERCENT
ACTUALS ACTUALS ACTUALS ACTUALS BUDGET OF BUDGET
CITY COUNCIL
PERSONAL SERVICES 11,381.91 11,381.01 11,369.75 11,368.86 22,745.00 49.98%
OPERATING EXPENSES 10,201.71 11,455.07 12,804.97 10,981.04 30,979.00 35.45%
TOTAL 21,583.62 22,836.08 24,174.72 22,349.90 53,724.00 41.60%
CITY MANAGER
PERSONAL SERVICES
103,280.23
107,653.61
107,743.97
140,078.91
233,969.00
59.87%
OPERATING EXPENSES
991.94
1,322.69
2,154.75
2,126.21
2,320.00
91.65%
CAPITAL OUTLAY
0.00
0.00
0.00
2,077.95
2,100.00
98.95%
TOTAL
104,272.17
108,976.30
109,898.72
144,283.07
238,389.00
60.52%
CITY CLERK
PERSONAL SERVICES
108,074.47
119,331.31
132,181.93
95,786.84
229,144.00
41.80%
OPERATING EXPENSES
20,698.77
46,100.98
29,634.15
46,618.63
54,936.00
84.86%
CAPITAL OUTLAY
0.00
0.00
0.00
2,969.96
2,520.00
117.86%
TOTAL
128,773.24
165,432.29
161,816.08
145,375.43
286,600.00
50.72%
LEGAL
OPERATING EXPENSES 48,916.86 48,855.07 40,179.82 54,717.79 102,270.00 53.50%
TOTAL 48,916.86 48,855.07 40,179.82 54,717.79 102,270.00 53.50%
FINANCE/ACCOUNTING
PERSONAL SERVICES
179,606.96
192,820.37
195,757.29
198,251.34
413,607.00
47.93%
OPERATING EXPENSES
66,451.56
64,520.16
65,708.46
72,203.06
88,314.00
81.76%
CAPITAL OUTLAY
0.00
0.00
0.00
1,519.87
1,600.00
94.99%
TOTAL
246,058.52
257,340.53
261,465.75
271,974.27
503,521.00
54.01%
M.I.S. DIVISION
PERSONAL SERVICES
91,288.66
56,711.99
54,802.50
69,957.34
198,768.00
35.20%
OPERATING EXPENSES
23,207.07
26,109.28
22,992.13
6,691.66
26,573.00
25.18%
CAPITAL OUTLAY
0.00
4,178.25
0.00
0.00
0.00
0.00%
TOTAL
114,495.73
86,999.52
77,794.63
76,649.00
225,341.00
34.01%
POLICE ADMINISTRATION
PERSONAL SERVICES
222,383.44
268,064.72
228,370.49
243,470.48
528,736.00
46.05%
OPERATING EXPENSES
58,269.88
54,383.86
57,728.67
52,938.70
96,622.00
54.79%
CAPITAL OUTLAY'
0.00
0.00
0.00
12,500.00
9,123.00
137.02%
TOTAL
280,653.32
322,448.58
286,099.16
308,909.18
634,481.00
48.69%
POLICE PATROL
PERSONAL SERVICES
1,056,007.77
1,066,988.63
1,084,028.33
1,080,450.64
2,154,917.00
50.14%
OPERATING EXPENSES
106,851.73
104,383.53
110,923.99
109,312.88
198,800.00
54.99%
CAPITAL OUTLAY
30,118.00
0.00
3,647.00
0.00
8,000.00
0.00%
TOTAL
1,192,977.50
1,171,372.16
1,198,599.32
1,189,763.52
2,361,717.00
50.38%
CODE ENFORCEMENT DIVISION
PERSONAL SERVICES 63,825.36 69,949.60 67,532.01 71,487.94 148,287.00 48.21%
OPERATING EXPENSES 9,569.75 10,557.30 12,326.64 11,969.82 20,505.00 58.38%
TOTAL 73,395.11 80,506.90 79,858.65 83,457.76 168,792.00 49.44%
POLICE INVESTIGATIONS
217,384.82
246,402.01
220,518.43
241,183.27
535,092.00
45.07%
PERSONAL SERVICES
396,079.02
299,098.87
260,649.65
304,846.14
601,452.00
50.69%
OPERATING EXPENSES
44,964.67
48,813.66
47,194.12
57,321.13
99,116.00
57.83%
CAPITAL OUTLAY
919.41
1,380.95
0.00
0.00
0.00
0.00%
TOTAL
441,963.10
349,293.48
307,843.77
362,167.27
700,568.00
51.70%
POLICE COMMUNICATIONS
PERSONAL SERVICES
217,384.82
246,402.01
220,518.43
241,183.27
535,092.00
45.07%
OPERATING EXPENSES
2,351.67
2,149.82
1,810.60
4,277.10
11,487.00
37.23%
CAPITAL OUTLAY
0.00
1,995.64
0.00
0.00
0.00
0.00%
TOTAL
219,736.49
250,547.47
222,329.03
245,460.37
546,579.00
44.91%
CITY OF SEBASTIAN
GENERAL FUND DEPARTMENTS
QUARTER ENDING 03/31/14
201012011 2011/2012 2012/2013 2013/2014 2013/2014 2013/2014
2nd QTR 2nd QTR 2nd QTR 2nd QTR ANNUAL PERCENT
ACTUALS ACTUALS ACTUALS ACTUALS BUDGET OF BUDGET
ROADS AND DRAINAGE
46,328.52
83,871.84
88,295.68
83,450.08
189,907.00
43.94%
PERSONAL SERVICES
300,432.62
304,269.09
301,576.38
293,687.05
654,507.00
44.87%
OPERATING EXPENSES
48,502.06
39,848.18
37,613.26
62,151.49
108,297.00
57.39%
CAPITAL OUTLAY
0.00
0.00
38,579.25
30,436.60
31,310.00
97.21%
TOTAL
348,934.68
344,117.27
377,768.89
386,275.14
794,114.00
48.64%
STORMWATER UTILITY DIVISION
PERSONAL SERVICES 267,410.64 224,378.67 243,808.25 202,064.11 452,063.00 44.70%
OPERATING EXPENSES 211,809.51 218,870.01 118,032.32 222,978.98 518,000.00 43.05%
TOTAL 479,220.15 443,248.68 361,840.57 425,043.09 970,063.00 43.82%
CENTRAL GARAGE
PERSONAL SERVICES
46,328.52
83,871.84
88,295.68
83,450.08
189,907.00
43.94%
OPERATING EXPENSES
13,578.53
8,878.93
8,160.43
11,992.70
24,089.00
49.78%
CAPITAL OUTLAY
0.00
1,005.75
3,929.00
0.00
2,000.00
0.00%
TOTAL
59,907.05
93,756.52
100,385.11
95,442.78
215,996.00
44.19%
FACILITIES MAINTENANCE
PERSONAL SERVICES
50,681.58
74,766.70
68,472.49
58,716.33
160,058.00
36.68%
OPERATING EXPENSES
44,561.71
43,917.04
51,376.76
33,676.31
122,925.00
27.40%
CAPITAL OUTLAY
0.00
0.00
12,487.00
1,431.02
57,000.00
2.51%
TOTAL
95,243.29
118,683.74
132,336.25
93,823.66
339,983.00
27.60%
PARKS /RECREATION
PERSONAL SERVICES
310,740.83
315,961.91
310,808.26
315,881.86
669,432.00
47.19%
OPERATING EXPENSES
108,416.51
114,927.55
110,537.34
122,697.01
228,148.00
53.78%
CAPITAL OUTLAY
1,429.65
10,679.13
19,190.32
16,112.79
16,500.00
97.65%
TOTAL
420,586.99
441,568.59
440,535.92
454,691.66
914,080.00
49.74%
CEMETERY
PERSONAL SERVICES
39,475.75
43,188.71
42,474.10
71,444.49
146,812.00
48.66%
OPERATING EXPENSES
8,259.82
11,089.35
17,264.78
19,210.67
39,310.00
48.87%
CAPITAL OUTLAY
0.00
8,799.99
0.00
0.00
0.00
0.00%
TOTAL
47,735.57
63,078.05
59,738.88
90,655.16
186,122.00
48.71%
GROWTH MANAGEMENT
PERSONAL SERVICES 142,348.69 107,567.60 107,390.63 81,434.32 175,911.00 46.29%
OPERATING EXPENSES 23,574.20 9,410.14 8,873.41 12,295.00 19,311.00 63.67%
TOTAL 165,922.89 116,977.74 116,264.04 93,729.32 195,222.00 48.01%
NON - DEPARTMENTAL
PERSONAL SERVICES
8,153.62
80,716.94
60,571.27
47,582.16
176,424.00
26.97%
OPERATING EXPENSES
373,526.75
365,930.71
416,933.23
427,122.65
544,458.00
78.45%
GRANTS AND AIDS
0.00
0.00
717.97
0.00
0.00
0.00%
TOTAL
381,680.37
446,647.65
478,222.47
474,704.81
720,882.00
65.85%
GENERAL FUND EXPENDITURES 4,872,056.65 4,932,686.62 4,837,151.78 5,019,473.18 10,158,444.00 49.41%
CITY OF SEBASTIAN, FLORIDA
CAPITAL PROJECT STATUS REPORT
AS OF 03/31/2014
FUND 310 GENERAL CAPITAL PROJECTS
Project
Project
Project
Expenditures
Percent
C0921
Funds
Number
Description
Budget
To Date
Expended
Encumbrances
Remaining
A1311
Old City Hall Windows
15,000
-
0.00%
-
15,000
A1411
Computer Overhaul
250,000
38,819
15.53%
-
211,181
A1412
Diesel Fuel Tank
35,000
-
0.00%
-
35,000
A1413
Police Vehicles
229,500
78,090
34.03%
115,581
35,829
A1414
Stormwater Equipment
93,881
32,451
34.57%
56,755
4,675
-
15,000
623.381
149.360
23.96%
172,335
301,685
FUND 320 CAPITAL IMPROVEMENT PROJECTS
Project
Percent
Number
Description
C0921
Schumann Park Improvements (CLOSED)
C 1123
Bark Park Amenties
C 1125
Riverview Park Irrigation Fountains
A1222
Blueway Signage
A1223
Bleacher Shields
A1320
Fish House Improvements
A1322
Schumann Park Playground
A1325
Community Center Playground (Closed)
A1421
Mooring Fields
A1422
Tennis Wall
A1423
Batting Cage /Dugouts
Project
Expenditures
Percent
Expenditures
Funds
Budp-et
To Date
Expended
Encumbrances
Remaining
248,191
248,191
100.00%
-
-
100,000
69,730
69.73%
-
30,270
25,000
11,462
45.85%
-
13,538
25,000
-
0.00%
-
25,000
50,000
2,804
5.61%
-
47,196
497,850
1,284
0.26%
53,216
443,350
25,000
61
0.25%
18,336
6,603
23,400
23,400
100.00%
-
-
15,000
-
0.00%
-
15,000
50,000
-
0.00%
-
50,000
15,000
13,845
92.30%
-
1,155
1,074,441
370,776
34.51%
71,552
632,112
FUND 330 TRANSPORTATION CAPITAL PROJECTS
Project
Expenditures
Project
Expenditures
Percent
Stormwater Master Plan
Funds
Number
Description
Budget
To Date
Expended
Encumbrances
Remaining
C1132
Gateway Enhancement
25,000
2,821
11.29%
20,050
2,129
*1231
Presidential Streets
991,655
105,515
10.64%
11,538
874,603
A 1234
Davis Street Sewer
150,000
5,463
3.64%
-
144,537
A1330
Barber Street Bridge Repairs (closed)
72,032
72,032
100.00%
-
-
A1431
Barber Street Realignment
50,000
-
0.00%
-
50,000
A1432
Sidewalk Construction
100,000
658
0.66%
18,463
80,879
A1433
Street Repaving
75,000
-
0.00%
-
75,000
A1434
Tulip Drive
351,000
-
0.00%
32,000
319,000
1,814,687
186,489
10.28%
82,051
1,546,148
FUND 363 STORMWATER IMPROVEMENT FUND
Project
Expenditures
Number
Description
C1601
Stormwater Master Plan
A 1461
Quarter Round
*1462
Pipe Sliplining
FUND 455 AIRPORT PROJECTS
Project
Expenditures
Percent
Funds
Budget
To Date
Expended
Encumbrances
Remaining
60,000
58,000
96.67%
2,000
-
500,000
260,431
52.09%
19,535
220,034
80,000
-
0.00%
-
80,000
640,000
318,431
49.75%
21,535
300,034
Percent
Project
Project
Expenditures
Expended/
Funds
Number
Description
Budget
To Date
Encumbered Encumbrances
Remaining
A1351
Main Street Access Road
1,591,163
75,632
4.75% 49,519
1,466,012
A 1451
AP Hangar
875,000
-
0.00% -
875,000
A1415
Airport Equipment
150,000
-
0.00% -
150,000
2,616,163
75,632
2.89% 49,519
2,491,012
QUARTERLY INVESTMENT REPORT
FOR THE QUARTER ENDED
MARCH 31, 2014
As of March 31, 2014, the total of the City's cash and investments were $12,956,007.44. Of this, $9,354,312.13 was
held in an interest bearing checking account at Seacoast National Bank and $3,601,695.31 was invested with the State
Board of Administration. The City did not purchase any new securities during the quarter and does not currently hold
any investments in government securities. At this time, the obtainable yields for maturities less than three years are
still less than the yield received on our checking account, which is .30% over the 13 week Treasury Bill rate. The
State Board rate has been in a range of about. 15%.
SEACOAST NATIONAL BANK
Total Bank Balance $ 9,354,312.13 100.00%
STATE BOARD OF ADMINISTRATION (SBA)
CURRENT
INVESTMENT ALLOCATION BALANCE PERCENT
General Fund + Performance Deposits
Discretionary Sales Tax Fund
Riverfront Redevelopment Fund
Parking In- Lieu -Of Fund
Recreation Impact Fee Fund
Law Enforcement Forfeiture Fund
Golf Course Projects Fund
Building Department Fund
Cemetery Trust Fund
Total SBA Balance
$ 1,775,987.87
CURRENT
850,495.80
CASH BALANCE ALLOCATION
BALANCE
PERCENT
General Fund
$ 4,581,915.35
48.98%
Local Option Gas Tax
78,811.75
0.84%
Discretionary Sales Tax
1,471,811.98
15.73%
Redvelopment CRA
641,848.00
6.86%
Recreation Impact Fee
538,303.13
5.75%
Stormwater Fee
439,944.04
4.70%
Law Enforcement Trust
1,680.18
0.02%
DST Bond Fund
87,085.37
0.93%
Stormwater Bond Fund
114,250.40
1.22%
Capital Projects
450.00
0.00%
Capital Improvements
36,872.76
0.39%
Golf Course Operations
133,906.81
1.43%
Airport Operations
12.13
0.00%
Airport Projects
73,165.69
0.78%
Building Department
601,880.02
6.43%
Cemetery Trust Fund
540,444.52
5.78%
Performance Deposits
11,930.00
0.13%
Total Bank Balance $ 9,354,312.13 100.00%
STATE BOARD OF ADMINISTRATION (SBA)
CURRENT
INVESTMENT ALLOCATION BALANCE PERCENT
General Fund + Performance Deposits
Discretionary Sales Tax Fund
Riverfront Redevelopment Fund
Parking In- Lieu -Of Fund
Recreation Impact Fee Fund
Law Enforcement Forfeiture Fund
Golf Course Projects Fund
Building Department Fund
Cemetery Trust Fund
Total SBA Balance
$ 1,775,987.87
49.31%
850,495.80
23.61%
101,063.56
2.81%
50,494.12
1.40%
16,577.05
0.46%
55,101.02
1.53%
126,526.54
3.51%
368,456.92
10.23%
256,992.43
7.14%
$ 3,601,695.31
100.00%
aiY OF
SESda S5 Al
HOME OF PELICAN ISLAND
Memorandum
To: Mayor and City Council
Thru: Joe Griffin, City Manager
From: Kenneth W. Killgore, Director of Finance
Date: May 8, 2014
Re: 2nd Quarter Accomplishments Fiscal Year 2014
Enclosed please find the 2nd Quarter Accomplishments for City Departments as assembled and edited by the
Administrative Services Department for the three months ended March 31, 2014.
CITY CLERK
Legislative Support Matters
Clerk prepared agenda packets, attended and recorded minutes for six Regular City Council meetings, one
Council Workshop and one Special Council meeting
• Seven resolutions adopted by Council
• Two ordinances adopted by Council
• 13 proclamations prepared for presentation by Mayor
+ Placed three legal notices in Press Journal
• Provided monthly City calendars and revisions to Council, city staff and press
• Provided monthly regional and county board meeting calendars to Council
• Coordinated attendance of clergy for Council meeting invocations
• Managed Council emails for retention and scanned and forwarded incoming mail to Council
• Distributed one Code supplement
• Purchased and had installed with assistance of PW, Building Maintenance and MIS staff two 60" TV monitors
for meeting and training use in Council Chambers
Records Management Program
• Responded to 32 public records requests
• 21 boxes of records that reached retention or were scanned & 15 bags of duplicate and OSA records destroyed
by Shred -It Recycling
• Scanned into Laserfiche — 16 sets of minutes, 22 agenda packets, seven Resolutions, two Ordinances, 124
Cemetery files — 29 other documents
• Cemetery Records Imaging to LaserEche completed
(Building Contractor Files and Permit Folders with Plans scanned by the Building Dept)
• City Clerk updated Records Management Policies and Procedures and new forms for adoption by Council and
posted all policies, schedule and forms on City O:Drive for access by staff
• Conducted Records Management Committee meeting with department liaisons
Election Matters
• Posted 2014 Election Candidate Handbook on City website and prepared 10 packets for distribution
• Received M12, M I and M2 Treasurer's Reports from PAC
• Received TR Treasurer's Reports from two 2013 Candidates by deadline
City Board Matters
• Prepared four board vacancy transmittals, positions appointed by Council, notified and provided info to
appointees, updated Board Handbook and distributed pages
• Prepared two certificates of appreciation for presentation by Mayor to outgoing board member
• Deputy Clerk prepared agenda, attended and recorded three Natural Resources Board meetings
• Deputy Clerk attended and recorded two Citizens Budget Review Advisory Board meetings
• Clerk attended and recorded one Board of Adjustment meeting
• Clerk prepared agenda, attended and recorded and one CRA meeting
• Posted all scanned City board packets to City website and provided to email group (press)
Cemetery Matters
• Certificates of Interment Rights issued for 15 locations for a total of $17,500.
Community /Staff Matters
• Placed two courtesy ads in Press Journal
• Responded to 56 public inquiry e -mails to the General City of Sebastian e-mail address and/or forwarded to
appropriate departments for response
• Deputy Clerk updated City Hall marquee weekly
• Backup for CM office for front desk phones — incoming calls to City Hall
• Coordinated Use of Chambers
Personnel /Educational Matters
• Deputy Clerk participated in Laserfiche training webinars — February 18/Track Records Requests
Deputy Clerk attended Supervisory training — March 11
ADMINISTRATIVE SERVICES
• Prepared the I" Quarter 2014 Budget Amendment to the City Council.
• Worked with Auditors to complete the FY2013 audit and preparation of financial statements
• Submitted FY2013 Comprehensive Annual Financial Report to the Government Finance Officers Association
Awards Program
• Developed budget calendar for events that will keep preparation of the FY2015 budget on schedule.
• Handled normal processing of payroll, accounts payable and cashiering.
• Coordinated the quarterly employee investment meetings with the ICMA representative.
• Monitored and completed required grant paperwork on Airport and other grants.
• Monitored and approved payments on major contracts.
• Reviewed City Manager applications and prepared contract for the City Manager.
• Recruited, interviewed and hired new employees and replacements for other vacant positions.
2
POLICE DEPARTMENT
Administration
• Incident Reports processed/dispersed to proper agencies and entered into IMC... 616
• Arrest Reports ( Juveniles) ................................... ............................... 8
• Arrests Reports ( Adults) ..................................... ............................... 73
• Accident Reports /Driver Exchanges processed, dispersed/entered into IMC....... 94
• Traffic Citations processed and entered into IMC ....... ............................... 176
(Civil — 130; Criminal — 30 ; Citation Arrests — 15; Voided - l)
• Parking Citations processed, followed up and entered into IMC ..................... 9
• Warning Citations processed, followed up and entered into IMC ................ 874
• Subpoenas signed, processed and distributed ............. ............................... 258
• Traffic Enforcements ......................................... ............................... 682
• Code Violations, including parking ....................................................... 344
...............
• Public Records Request: Oct. 46; Nov. 39; Dec. 69 ........ ............................154
• Continued review of agency policies as per accreditation standards.
• Conducted 1 onsite assessment for Commission for Florida Law Enforcement Accreditation.
• Administration attended 6 Council meetings.
• Attended over 65 Law Enforcement related meetings and 13 public meetings and/or speaking engagements.
• Attended over 40 hours of training.
• Completed 2014 Citizen's Academy with 22 graduates.
Volunteers
• The Community Service Volunteers worked a total of 2,455 hours during this quarter.
• 64 bank deposit details were made. This service is done for City Hall saving time for the employees by not
having to leave their assigned duties.
• 0 traffic control details was assigned. These consist of directing traffic at city events, road closures, etc.
• 150 house watches /close patrols were completed.
• 36 vehicle transports were made consisting of taking the vehicles to different locations for repairs etc.
• 232 business checks were made. These business checks are done and help the patrol officers keep an eye on the
business community which cuts down on crime.
• 130 area checks of banks were made. Visual marked units around the banks at various times helps to deter
crime.
• 62 Airport checks were made. Again the visibility helps to deter crime.
• 49 special details were assigned.
• 3 miscellaneous assist for law enforcement personnel.
• 108 paper runs i.e.: State Attorneys Office, Sheriff's Office, etc. The volunteers pick up and deliver packages
such as council packages, State Attorney packets and what ever other items are needed.
• Assisted with traffic control on 4 traffic crash scenes.
• 0 warnings for handicapped parking tickets issued and 0 warning for other parking issued.
• 25 citizen contacts.
• 430 Miscellaneous jobs.
• 37 hours of Funeral Escorts were done.
Road Patrol and Special Operations
• Officers were dispatched to 3,958 calls for service, and self - initiated 9,449 events.
• 73 adult and 8 juvenile arrest were made.
• Officers issued 176 traffic citations, 9 parking citations, and 874 written warnings.
• Officers completed 616 offense reports and 94 crash reports.
Citations Warnines Incidents Arrests
• Traffic Homicides (0)
• Boat Ofc (ID 447) 8
• K -9 Ofc's 101
• TOTALS 109
• K -9 Usage /Activity Reports:
• K -9 Training hours
• K -9 Demonstrations
• K -9 Apprehensions
• K -9 Narcotic Searches
67
73
21
670 combined hours.
15 1
20 13
35 14
10
4 misdemeanor and 3 felony
Road Patrol and Special Operations have continued to professionally serve the community by patrolling the city
in order to deter crime and maintain the community policing philosophy. Officers and sergeants maintain their
skills by attending mandatory and advanced training throughout the year.
Community PolicinE
• Arranged an art display from students in the North County Schools at the Fine Arts Festival to show the
community the Police Departments involvements with our students and community.
• Conducted a police service for an ongoing noise complaint.
• Assisted "Smoke Free Indian River County" with identifying what tobacco products are displayed in local
stores and if they are in reaching distance of minors.
• Have planned and facilitated 10 classes for the D.A.R.E. program and 10 classes for the G.R.E.A.T. program.
• Prepared for graduation events for D.A.R.E. and G.R.E.A.T. that would take place in April (Certificates,
reading essays, working with Publix on providing refreshments).
• Prepared for a clean up event at Riverview Park to be done in April for Sebastian Charter Junior High in
conjunction with Keep Indian River Beautiful (Make contact with K.I.R.B and organize with the school).
• Assisted road patrol duties to handle calls for service, accidents and covering shift shortages.
• Worked with Indian River County Sheriffs Office on programs, such as Eddie Eagle with Deputy Barker.
• Assisted Officer Marcinik with events that he planned in the community.
• Assisted the police volunteers with 2 funeral escorts.
• Conducted numerous area checks each week at the three schools in Sebastian's jurisdiction.
• Has assisted with crossing guard duties when there was no crossing guard available.
• Provided police services to the students and parents of Pelican Island Elementary by maintaining the flow of the
intersection of Barber Street and Schumann Drive before and after school.
• Showed support to the students of Sebastian Elementary with their Walk to School event on the first
Wednesday of each month.
Communications Division
• 11,572 calls entered into C.A.D. (IMC) of that:
• 4,175 were dispatched calls for service.
• 1,791 were Code Enforcement Initiated calls.
• 4,927 were Officer Initiated calls.
• 530 were Volunteer Initiated calls.
• %• 149 were duplicated calls not included in the other totals.
tal 911 calls received 2,572 of that the breakdown of the lines are as follows:
• Wireless 911 calls — 1,714 (cell phones)
• Wire -line 911 calls — 607 (residential and/or business land lines)
• VOIP 911 calls — 208
• 354 of the calls were transferred to other agencies.
• 251 were 911 hang -ups.
• Total Admin Lines calls:
• Incoming 5,551
• Outgoing 2,485
• Transferred 991
• Training attended:
• 1 FDLE Regional Workgroup Meeting.
• 2 Supervisor training regarding employment law.
• I Dispatcher attended 40 hrs CIT training.
• 1 Dispatcher completed the online State Certification class.
• 10 Dispatchers attended CAD training for CAPERS CAD System.
• 9 Dispatchers completed Police Legal Science monthly training.
• 9 Dispatchers completed APCO monthly training articles.
• Radio and playback repaired.
• Telephone and computer repairs.
• Started using a new CAD system.
• Received CritiCall Software.
During this quarter as in all quarters, we assisted the Citizens with house watch requests and cancellation services,
citation sign offs, information, phone numbers and other services by contacting other Agencies and/or Departments for
them. We take and dispatch all non - emergency and emergency phone calls, as well as requests for Law Enforcement,
Code Enforcement and Volunteer services. We assist the Officers, Detectives, Code Enforcement and Volunteers with
placing phone calls to citizens, parents of juveniles, State Attorney, Court House, Tag Office, Drivers License Office,
key holders and any other agency requests they may have as well as sending teletype messages to DHSMV, FCIC/NCIC
and other Law Enforcement Agencies regarding cases our agency is working. Communications helps officers to search
for information, phone numbers, referring them to the proper agency, etc. Communications also assist other agencies
with information and/or request they may have. Because of the new 911 equipment, we were not able to provide totals
for TDD calls at this time.
Alarm Assessments
• $540 in alarm permits (new and renew).
• $425 in false alarms fines.
• 181 alarm responses by officers, 92 of these were false.
• 34 New permits issued.
Code Enforcement Division
Of the 1,830 code calls for the quarter, the following is a breakdown of some specific calls made:
• Issued 409 written warnings. This range from grass and weeds too high, trailers parked in front of the
property line, trash and debris, yard sale permits, overgrowth of adjoining lot, no permit for a fence
install, etc.
• 105 property inspections for title companies and 71 sign violations.
• 490 Code Services.
• 640 re- inspections, 50 violations were not complied with, 211 were posted for abatement, 59 abated by
vendors.
• 321 violations complied.
• 57 Liens filed, 30 liens released.
• 217 violation letters sent for various reasons such as grass and weeds too tall, trash and debris,
overgrown lots, etc. in an attempt to gain compliance.
• There were no calls for water violation during the quarter.
PUBLIC WORKS DEPARTMENT
Engineering
Traffic Division
• Regulatory signs 64 (20 stop signs)
• Warning Signs 15
• Guide signs 32
• Specialty signs 106. This includes Temp signs and Aframe/ Marquise signs setup for events. Also signs
made for other departments.
• Pavement Markings. 460 Ft.
• Straightening /Maintenance. 80hrs.This includes pothole repair.
Roads and Maintenance
• Build new sign at the Community Center.
• Remove wall at the Golf Course.
• Repair fence screening at the compound.
• Clean up set up and break down for Pelican Island festival at the Fishermen's landing
• Work on school crossing lights.
• Repaint the city mangers office.
• Repair signs on 512.
• Work on Golf Course and Football fields' restroom.
• Haul tree trimming out of the Cemetery.
• Clean stage.
• Clean up, set up and break down for the Art Festival.
• Check all the elec. in the Riverview Park.
• Work on fence at the Golf Course.
• Work on traffic counts at Barber and Concha.
• Remove sidewalks on Barber St.
• Install new bench at Cownie Ln.
• Get prices on barricades.
• Remove and install new dumpster in closer at the football fields.
• Take barricades to Earls.
• Clean up spill at old Wal -Mart parking lot.
• Pick up homeless mans belonging in Roseland.
• Have dumpster in close re done at good guy.
• Haul scrap metal to Mr. Scraps
• Have the doors replaced at Crabby Bills.
• Have the projection screen moved at the Airport.
• Have sidewalk installed on Fleming st and Wave st.
• Install new step at Crabby Bills.
• Haul dirt for Airport for new Golf Course maintenance building.
• Replace mailbox at 382 Main st.
• Work on sign inventory.
• Get gps numbers for all outfall pipes on Indian River dr.
• Replace broken parking stop throughout the City.
• Set up and break down for A run.
• Trim trees off the road at Stonecrop Park
• Have the railing repaired at Community Center.
• Form up two d catch basin bottoms.
• Clean up, setup and break down for the Pelican Island Festival.
• Repair lights in the compound.
• Repair lights at city hall parking lot.
• Repair bed of S/W 627 dump truck.
• Weed eat along the seawalls of Collier canal.
• Install new fence at the Golf course on hole # 4.
• Fill holes along the sidewalk at the Yacht club.
• Weeds eat and edge sidewalks throughout the City.
• Work on pedestrian bridge deck repair.
• Repair lights at Hardee Park.
• Weeds eat along the track at Schumann and Essex.
• Dirt on edge of road.
• Weeds eat edge and mow ditch on I. R.D.
• Remove graffiti throughout the city.
• Repair Yacht club dock lights.
• Repair lights on I.R.D.
• Clean up in the compound.
• Work on lights at Main st boat ramp.
• Patch potholes throughout the City of Sebastian.
• Pick up dead animals throughout the city.
• Work on Dog Park restroom.
• Clean up in the big building
• Weed eat and cut grass at the compound.
• Clean up around the guardrails and bridges approaches through out the city.
• Cut trees back off the road through out the city.
• Cut tree off stop signs through out the city.
• Clean up the fill pile.
• Work on way finding signs.
• Weed eat New Pack ditch.
• Repair broken lights at Easy St Park.
• Check and repair all city docks.
• Sweep streets in Schumann area.
Cemetery
• The Cemetery Division continued regular routine maintenance of mowing, weed eating and edging.
• Marked out grave sites.
• Made necessary irrigation repairs.
• Handled burials, etc.
Parks and Recreation
• Set up and maintained Riverview Park for 5 Concerts in the Park, Fine Arts & Music Festival, 3 Craft Shows, 4
Art Shows and Pelican Island Wildlife Festival.
• Delivered and set up Mobile Stage to Church in Vero Beach and American Legion.
• Delivered bleachers to S.R.H.S. R.O.T.C.
• Assisted with 5KRun, 4 Chaplains and Flag Retirement Ceremonies.
• Replaced 18 light fixtures and repaired scoreboards at B.S.S.C. baseball fields.
• Installed new bases and prepped field for new baseball season at B.S.S.C.
• Replaced irrigation pump and 1 foul pole at B.S.S.C. baseball fields.
• Installed safety net and repaired soccer goals on multi purpose field.
• Moved dumpster enclosure and replace 4 basketball nets at B.S.S.C. football field.
• Installed 18 pallets of sod and 120 yards of mulch on Schumann Dr. medians.
• Replaced 32 irrigation heads on Schumann Drive.
• Installed fountain on pond at Historical Park.
• Trimmed trees and mulched beds at Crabby Bills.
• Trimmed trees along Indian River Dr. sidewalk.
• Mulched beds at Veterans Memorial.
• Installed 3 bollards to protect valve boxes by Twin Piers.
• Made many repairs to water faucet, power pedestals and irrigation in Riverview Park due to damage from
events.
• Graded and leveled sand in volleyball courts at Riverview Park.
• Repaired ramps and rails at Skate Park.
• Replaced 6 tennis nets and 4 basketball nets at Schumann Park.
• Installed new Playground at Schumann Park.
• Cleaned Splash Pad surfaces and installed new chlorine feeder.
• Installed new fence around Playground at Riverview Park.
• Repaired fence at Bryant Court Park and picnic table at Filbert St. Park.
• Replaced 1 tennis net at Friendship Park.
• Made many irrigation repairs throughout City.
• Remove graffiti and replaced bolts on Pirate Ship & Creative Playgrounds.
• Replaced trash receptacles at Cownie Lane.
• Continued Recreation Programs at Community Center.
• Continued regular maintenance of Parks and City Grounds
Fleet Management
• The Fleet Management staff completed 125 repair work orders, 34 preventive maintenance services, 7 service
calls and 12 road trips to pick up repair parts.
• In addition to the in -house vehicle /equipment work orders, 70 vehicle and equipment repairs were scheduled
and completed by outside vendors.
• The Fleet Management Division purchased the following vehicles and equipment in the past quarter:
• 1 Police K -9 Tahoe.
• 1 Public Works Enclosed Barricade Trailer.
• I Stormwater John Deere 410 Backhoe.
The following units were delivered and prepared for service with necessary graphics, lights, tags:
• 1 Police Motorcycle Police K -9 Tahoe.
• 1 Police K -9 Tahoe
• 1 Police Pick -up (Code Enforcement)
• 1 Public Works Utility Truck
• 1 Stormwater Utility Truck
Completed the Sale of 7 pieces of equipment on Government Deals - $34,935
Fuel costs as of April 1, 2014 are as follows:
• $3.42 per gallon of gasoline, an increase of 4.5% over the past 90 days.
• $3.72 per gallon of diesel fuel, an increase of 2.7% over the past 90 days.
7
Facilities Maintenance
• Conducted quarterly sprinkler tests.
• Conduct annual fires alarm inspection.
• Repair and replace duct work for Pro Shop and Eagles Nest.
• Back flow testing for January completed.
• Gate repairs and water main repair at Police Station.
• Repair fire alarm system in elevator room Old City Hall.
• A/C repairs Fisherman's Landing.
• Replace toilet City Compound.
• Pressure wash City Hall and surrounding patio and walkways.
• New TV and electrical receptacles City Hall second floor.
• Set up and tear down of tables and chairs at different events.
• Continued monthly preventive maintenance on lift stations, A/C filter replacement etc.
• Continued daily maintenance, cleaning and repair of all public work facilities.
• Continued monitoring of contracts with pest control, A/C, elevators, etc.
Stormwater
• Phase 3 of 2013 schedule for 1/4 round Project.
• Pipe replacements - 43.
• Pipe installed — 1735 LF.
• Catch Basins installed — 2.
• Road Crossings — 2.
• Vac Truck cleaned 2 driveway pipes and 6 catch basins.
• Relocated ditch at Airport for new building.
• Installed 500 LF of 18" HDPE pipe installed.
• Performed Long Arm mowing in Stonecrop area and hazardous areas throughout the City.
GOLF COURSE
• Total revenue for 2 "d quarter: $494,257.
• Golf Rounds for 2nd quarter: 15,420.
• Green Fee revenue for 2nd quarter: $207,723.
• Cart Fee revenue for 2nd quarter: $237,221.
• Golf shop revenue for 2 "d quarter: $15,520.
• Driving range revenue for 2nd quarter: $15,984.
• Discount Card revenue for 2 "d quarter: $5,773.
• Club Rental & Club Storage revenue for 2nd quarter: $1,163.
• Computerized golf handicap revenue for 2nd quarter: $680.
• Rents & Royalty revenue for 2 "d quarter: $7,661, an increase of $1,082 compared to Fiscal 12 -13 2 "d
quarter.
• Annual Membership /Initiation revenue for 2 "d quarter: $536 (majority of membership /initiation revenue
collected in 0 quarter.
• Professional golf lesson revenue for 2 "d quarter: $1,220.
• Charity, Corporate and special Golf Tournaments for 2"d quarter included 2014 Hangover Open Tournament
(144 players), Vista Gardens Golf Tournament (60 players), 3`d Annual Michael Nichols Memorial Golf
Tournament (144 players), Sebastian Elks (72 players), Sebastian Rotary (52 players), Barefoot Bay Golf
Association (40 players), Patrick Air Force Base / AIA Golf Group (20 players) and Palm Bay Golf Association
(40 players).
• Charity, Corporate and Special Golf Tournaments scheduled for 3 d quarter include Sebastian Eagles, I"
Inaugural Donald O'Connor Memorial Golf Tournament, Barefoot Bay Golf Association, Sebastian Chamber of
Commerce, Palm Bay Golf Association, Brevard Rugby, Sebastian River High School Touchdown Booster
Club Tournament, St. Sebastian Catholic Church and Sandy's Grille for Wounded Warriors.
• Donated rounds of golf and/or golf course merchandise to numerous charitable fundraisers and events. By
donating to worthy causes, SMGC provides key support to numerous community endeavors.
• Golf course condition in excellent shape, several customers frequently offered positive comments about
condition of golf course and overall shape and speed of greens. Small landscaping projects accomplished
throughout the property and around the clubhouse.
SMGC participated in the Florida State Golf Association's Interclub Matches, which was a 6 -week, once per
week, competition between area golf clubs.
All leagues provided excellent support and revenue. Leagues included Wojo's Monday League, Sebastian
Men's and Women's Golf Associations, Sebastian Business League, Rocky's League, The Saturday Couples
League and the Sunday Bunch League.
Michael Nichols Memorial Golf Tournament raised over $3,500 in funds which went toward a Memorial Bench
in Michael's honor, a trust fund for Michael's son and a donation in Michael's name for the Indian River
County American Cancer Society.
AIRPORT
• Working on Main Street access road Improvements Project.
• On -going Stormwater maintenance.
Economic Development
• Partnered w /Sebastian Chamber on print advertising campaign.
• Budgeted for $20,000 in FY2014 to be spent on economic development.
BUILDING DEPARTMENT
• For the second quarter of this fiscal year, a total of 44 new single- family homes were issued building permits.
This is a slight increase over the number reported in the first quarter of this fiscal year. Other permits of
significance include 3 new mobile homes, 0 new commercial buildings, 0 commercial additions, 1 commercial
alteration, 1 commercial build out, 4 residential additions and 12 residential alterations. In all, 786 building
permits were issued in the fourth quarter. This is about a 15% increase in permitting activity from the first
quarter of this fiscal year.
• Total number of inspections for the second quarter was 2374 for an average of 38 inspections per working day.
The number of inspections has decreased slightly from the first quarter because there were a lower number of
permits issued in the first quarter and that is a reflection on the number of inspections requested for the second
quarter. With the increase in permitting this quarter we can expect the inspection counts to be higher in the third
quarter.
• The number of Certificates of Occupancy issued for the second quarter included 40 new single family
residences, 0 commercial certificates of occupancy and I commercial certificates of completion.
• The following lists the Business Tax Receipt activity for the second quarter: New Businesses -30, Renewals -33,
Transfers -1, Duplicates -1, Home Based Businesses -21, Commercial Businesses -10, Insurance Companies -24,
and Solicitor Permits -14. In addition, there have been 65 requests from lien/title companies for permit records
on properties within the city.
• The building department has recently hired Michelle Boswell as our new permit technician. She has many years
of experience in this position from working at the Indian River County Building Department. She has learned
her position quickly and has already proven to be an asset to this department. This department also actively
follows up on complaints from citizens regarding contractual issues with licensed contractors and we continue
to pursue enforcement action when necessary to stop unlicensed contractor activity.