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HOME OF PELICAN ISLAND
CITY OF SEBASTIAN,, FLORIDA
ANNUAL BUDGET
FISCAL YEAR 2023-2024
Draft, as of July 7, 2023
f CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
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HOME OF PELICAN ISLAND
CITY OF SEBASTIAN, FLORIDA
ANNUAL BUDGET
FISCAL YEAR 2023-2024
GENERAL FUND
Draft as of July 7, 2023
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
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HOME OF PELICAN ISLAND
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CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
SUMMARY OF GENERAL FUND EXPENDITURES BY DEPARTMENT/DIVISION
Amended
Org
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Code
Description
Actual
Actual
Actual
Budget
Projected
Budget
010001
City Council
$ 46,702
$ 55,883
$ 62,725
$ 62,725
$ 57,785
$ 75,895
010005
City Manager
269,335
285,943
309,381
309,381
341,246
324,110
010009
City Clerk
264,887
205,204
223,024
223,024
227,016
355,260
010010
City Attorney
167,044
195,696
271,445
271,445
233,543
264,185
010020
Finance
674,673
656,306
623,297
623,297
598,828
724,527
010021
Management Information Services
511,750
513,329
727,871
727,871
636,125
676,465
010035
Human Resources
0
0
0
231,814
222,052
317,455
010041
Police Administration
1,263,875
1,020,630
875,080
875,080
834,070
963,290
010043
Police Operations
3,308,391
3,461,189
4,123,169
4,123,169
3,910,585
4,382,275
010047
Police Investigations
1,076,622
1,107,742
1,342,060
1,342,060
1,211,592
1,495,105
010049
Police Dispatch
582,845
577,505
750,780
750,780
663,946
856,240
010045
Code Enforcement Division
184,219
187,626
202,567
202,567
144,140
213,230
010052
Roads and Maintenance
963,173
927,720
1,157,409
1,157,409
1,044,977
1,482,265
010054
Fleet Management
202,251
211,926
283,284
283,284
259,535
318,825
010056
Facilities Maintenance
568,181
598,970
804,808
804,808
755,117
854,465
010057
Leisure Services
1,110,021
1,035,794
1,407,371
1,407,371
1,306,227
1,375,530
010059
Cemetery
177,736
179,000
164,323
164,323
171,777
187,340
010080
Community Development
539,290
477,728
716,458
716,458
574,673
769,020
010099
Non -Departmental
976,464
1,025,035
1,300,254
1,300,254
1,295,628
1,667,449
Total General Fund Expenditures
$ 12,887,460
$ 12,723,227
$ 15,345,306
$ 15,577,120
$ 14,488,861
$ 17,302,931
Total Revenues and Transfers
12,391,402
13,710,021
15,006,982
14,984,653
15,870,505
17,302,931
Change in Fund Balance
$ (496,058)
$ 986,794
$ (338,324)
$ (592,467)
$ 1,381,644
0
R
I CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET I
GENERAL FUND REVENUE DETAIL
Code: 001501
Amended
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22123
FY23/24
Number Descrintion
Actual
Actual
Actual
Budget
Proiected
Budget
TAXES
311000 Current Ad Valorem Taxes
3,791,174
4,470,263
4,536,864
5,066,772
5,010,000
6,105,004
311001 Delinquent Ad Valorem Taxes
76,083
63,371
66,069
79,570
65,000
65,000
TOTAL AD VALOREM TAXES
3,867,257
4,533,635
4,602,933
5,146,342
5,075,000
6,170,004
FRANCHISE FEES
313100 Electric Franchise Fees
1,197,996
1,265,127
1,448,916
1,441,986
1,675,000
1,730,000
313700 Solid Waste Franchise Fees
100,099
101,540
103,304
104,803
134,800
100.000
313900 Other Franchise Fees - CNG
18,754
17,862
19,351
20,497
20,800
21,500
TOTAL FRANCHISE FEES
1,316,850
1,384,529
1,571,571
1,567,286
1,830,600
1,851,500
UTILITY SERVICE TAXES
314100 Electric Utility Service Tax
1,799,535
1,839,470
1,934,010
1,938,690
2,206,000
2,280,000
314300 Water Utility Service Tax
316,943
340,851
371,931
375,291
405,000
419,000
314400 Gas Utility Service Tax
12,953
12,386
11,528
12,030
13,500
13,900
314800 Propane Utility Service Tax
39,337
44,400
50,816
53,045
47,900
49,500
314950 CST Revenue Sharing
771,638
793,154
804,481
831,931
830,500
859,500
TOTAL UTILITY SERVICE TAXES
2,940,406
3,030,261
3,172,766
3,210,987
3,502,900
3,621,900
TOTAL TAXES & FRANCHISE FEES
8,124,514
8,948,425
9,347,270
9,924,615
10,408,500
11,643,404
LICENSES AND PERMITS
321000 Business Taxes
78,129
76,351
62,685
78,000
78,000
78,000
321100 Business Tax - Penalties/Transfers
1,435
2,842
3,199
1,500
3,200
3,200
322060 Driveway Permit Fees
37,000
50,155
35,600
35,000
30,000
30,000
322075 Reinspection Fees
420
1,050
1,625
500
1,000
1,000
322080 Right -of -Way Permits
750
1,750
2,254
1,000
2,000
2,000
322100 Land Clearing Permits
13,225
19,400
14,025
15,000
10,000
10,000
322300 Fencing Permits
0
7,200
25,350
10,000
25,000
25,000
322700 Accessory Structure
200
200
300
200
200
200
322900 Other Permits & Fees
1,380
748
2,505
1,500
2,000
2,000
329100 Zoning Fees
7,981
19,841
20,025
10,000
20,000
20,000
329200 Site Plan Review Fees
4,600
9,373
13,125
6,000
6,000
6,000
329300 Plat Review Fees
1,000
2,900
5,950
1,500
5,000
5,000
329400 Plan Checking Fees
2,100
2,550
1,770
2,000
1,000
1,000
329500 Alarm Permits
2,020
1,560
1,230
1,500
1,000
1,000
TOTAL LICENSES AND PERMITS
150,240
195,919
189,643
163,700
184,400
184,400
INTERGOVERNMENTAL REVENUE:
FEDERAL GRANTS
331200 Fed Grant -Public Safety
2,944
4,391
6,734
5,000
5,000
5,000
331204 Fed - JAG Grant
15,284
11,458
0
0
0
0
334901 FEMA - Federal Reimb
43,937
0
130,846
0
72,435
0
334902 FEMA - State Reimb
4,872
0
17,780
0
0
0
TOTAL FEDERAL GRANTS
67,037
15,849
155,360
5,000
77,435
5,000
I CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
GENERAL FUND REVENUE DETAIL - CONTINUED
Code: 001501
Amended
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY23/24
Number
Description
Actual
Actual
Actual
Budget
Projected
Budget
STATE SHARED REVENUES
335120
Municipal Revenue Sharing
670,194
836,884
1,082,592
879,750
1,120,000
1,150,000
335122
8th Cent Motor Fuel Tax
196,566
234,732
284,490
246,330
282,000
292,000
335140
Mobile Home Licenses
14,935
16,597
16,382
16,798
15,900
16,400
335150
Alcohol Beverage Licenses
15,409
16,506
15,458
16,560
13,500
13,900
335180
Local Half -Cent Sales Tax
1,840,936
2,196,503
2,411,886
2,647,530
2,474,700
2,599,338
335200
Police Pension State Shared Revenue
208,645
206,017
227,003
0
0
TOTAL STATE SHARED REVENUES
2,946,685
3,507,239
4,037,811
3,806,968
3,906,100
4,071,638
TOTAL INTER-GOV'T REVENUE
3,013,721
3,523,087
4,193,171
3,811,968
3,983,535
4,076,638
CHARGES FOR SERVICES
341920
Cert. Copying, Record Search
3,830
3,807
3,375
3,800
3,800
3,800
341930
Election Fees
879
366
427
400
400
400
342100
PD Special Services Fees
16,485
23,132
19,312
20,000
20,000
20,000
342102
School Resource Officers
60,720
81,166
94,225
80,000
95,000
95,000
343805
Cemetery Fees
10,483
14,158
15,849
14,000
10,000
14,000
347550
Skate Facility Fees
51
0
0
0
0
0
347551
Pickleball Lighting Fees
0
1,533
2,916
2,500
3,500
3,500
347555
Tennis Facility Fees
15,376
31,437
28,273
25,000
30,000
30,000
347556
County Impact Fees Admin. Fees
13,863
27,834
23,769
15,000
15,000
15,000
347557
Community Center Rec Revenues
12,026
9,819
9,202
10,000
10,000
10,000
347558
Senior Center Fees
0
0
5,554
7,500
7,500
7,500
349140
RRD-Management Fees
99,076
89,725
92,655
62,431
62,431
67,573
349163
Stormwater-Management Fees
80,555
89,345
90,989
100,088
100,088
110,097
349410
Golf Course -Management Fees
97,185
106,065
106,065
116,672
116,672
122,296
349415
Maintenance Service Fees -GC
0
0
0
500
1,500
1,500
349450
Airport -Management Fees
93,485
116,866
104,041
98,374
98,374
105,057
349455
Maintenance Service Fees -AP
5,477
3,664
6,906
4,000
1,500
1,500
349480
Building Dept Management Fees
49,665
54,632
60,095
66,105
66,105
72,716
349485
Maintenance Services Fees -Bldg Dept.
546
596
919
500
500
500
349601
Cemetery -Management Fees
80,000
85,000
90,000
95,000
95,000
130,000
349620
Administrative Fees -Pension
24,000
24,000
24,000
24,000
24,000
24,000
TOTAL CHARGES FOR SERVICE
663,702
763,143
778,572
745,870
761,370
834,439
FINES AND FORFEITS
351100
Court Fines
16,569
13,343
18,874
13,500
20,000
20,000
351115
Police Education-$2.00 Funds
1,700
1,582
1,430
1,600
1,600
1,600
351140
Parking Fines
645
255
330
300
300
300
354100
Code Enforcement Fines
34,141
22,987
61,672
35,000
45,000
45,000
359000
Other Fines/Forfeits
109
110
124
100
150
150
TOTAL FINES AND FORFEITS
53,164
38,277
82,430
50,500
67,050
67,050
MISCELLANEOUS REVENUE:
INTEREST EARNINGS
361100
Interest Income
35,102
11,775
54,011
25,000
135,000
135,000
361105
State Board Interest Earnings
13,070
1,196
4,149
2,000
38,000
38,000
361150
Other Interest
1,371
198
112
500
1,500
1,500
TOTAL INTEREST
EARNINGS
49,544
13,170
58,272
27,500
174,500
174,500
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
GENERAL FUND REVENUE DETAIL - CONTINUED
Code: 001501
Amended
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY23/24
Number Description
Actual
Actual
Actual
Bud et
Proiected
Budget
RENT AND ROYALTIES
362100 Rents and Royalties
17,199
17,393
22,693
28,000
36,000
36,000
362150 Nontaxable Rent
105,867
104,742
141,830
105,000
105,000
105,000
TOTAL RENT AND ROYALTIES
123,067
122,134
164,523
133,000
141,000
141,000
SALE OF FIXED ASSETS
364100 Sale of Fixed Assets
31,014
50,571
102,093
35,000
35,000
35,000
365000 Sale of Surplus Material/Scrap
1,330
6,101
11,533
5,000
5,000
5,000
TOTAL SALES OF FIXED ASSETS
32,343
56,672
113,625
40,000
40,000
40,000
CONTRIBUTIONS/DONATIONS
366000 Contributions & Donations
2,079
50
3,528
3,000
2,000
2,000
366150 Memorial Bricks
1,450
2,250
3,250
5,000
2,000
2,000
366200 Contribution/Greer Trust
8,100
0
0
0
0
0
366805 4th of July Donations
2,500
2,500
2,500
2,500
2,500
2,500
TOTAL CONTRIBUTIONS/DONATIONS
14,129
4,800
9,278
10,500
6,500
6,500
OTHER MISCELLANEOUS REVENUES
367000 Gain/Loss on Investments
18,949
1,222
(21,190)
0
13,650
0
369100 Motor Fuel Tax Rebate
16,446
16,467
15,888
16,000
25,000
25,000
369200 Insurance Proceeds
118,824
14,607
11,430
15,000
15,000
15,000
369400 Reimbursements
11,363
11,480
12,708
10,000
14,000
14,000
369900 Other Miscellaneous Revenues
1,396
617
3,268
1,000
1,000
1,000
TOTAL OTHER MISCELLANEOUS REV.
166,977
44,394
22,105
42,000
68,650
55,000
TOTAL MISCELLANEOUS REVENUE
386,061
241,170
367,803
253,000
430,650
417,000
TOTAL REVENUES
12,391,402
13,710,021
14,958,888
14,949,653
15,835,505
17,222,931
INTERFUND TRANSFERS
381148 Transfer from 480 BUILDING
0
0
200
0
0
0
381163 Transfer from 163 STORMWATER
0
0
721
0
0
0
381360 Transfer from 363 STORMWATER
0
0
47,173
0
0
0
381410 Transfer from 410 GOLF
0
0
0
35,000
35,000
80,000
381450 Transfer from 450 AIRPORT
0
0
0
0
0
0
381601 Transfer from 601 CEMETERY
0
0
0
0
0
0
TOTAL INTERFUND TRANSFERS
0
0
48,094
35,000
35,000
80,000
TOTAL REVENUES AND TRANSFERS
12,391,402
13,710,021
15,006,982
14,984,653
15,870,505
17,302,931
OTHER FINANCING SOURCES
389991 Appropriated from Fund Balance
0
0
0
549,366
0
0
TOTAL OTHER SOURCES
0
0
0
549,366
0
0
TOTAL REV. AND OTHER SOURCES
12,391,402
13,710,021
15,006,982
15,534,019
15,870,505
17,302,931
R
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
GENERAL FUND OPERATING SUMMARY
EXPENDITURE BY DEPARTMENT/DIVISION
FY 19/20
FY 20/21
FY 21/22
j
FY 22/23
FY 22/23
FY 23/24
Department
Actual
I
Actual
I
Actual
fj
Budget
Projected
I
Budget
CITY COUNCIL
PERSONAL SERVICES
$
22,728
$
22,732
$
22,726
$
22,725
$ 22,725
$
22,725
OPERATING EXPENDITURES
23,973
33,151
34,498
40,000
35,060
53,170
[ CAPITAL OUTLAY
-
-
-
-
-
-
[ TOTAL
$
46,702
$
55,883
$
57,224
$
62,725
$ 57,785
$
75,895
CITY MANAGER
PERSONAL SERVICES
$
258,605
$
273,298
$
285,596
$
289,586
$ 323,256
$
306,885
OPERATING EXPENDITURES
10,730
12,645
13,696
19,795
17,990
17,225
J CAPITAL OUTLAY
-
-
35,137
-
[ TOTAL
$
269,335
$
285,943
$
334,429
$
309,381
$ 341,246
$
324,110
CITY CLERK
[ PERSONAL SERVICES
$
171,932
$
180,890
$
183,664
$
182,129
$ 186,492
$
270,480
OPERATING EXPENDITURES
92,955
24,314
74,951
40,895
40,524
84,780
CAPITAL OUTLAY
-
1
-
-
-
-
-
[ TOTAL
$
264,887
$
205,204
$
258,614
$
223,024
$ 227,016
$
355.260
CITY ATTORNEY
PERSONAL SERVICES
$
92,686
$
162,196
$
176,827
$
188,555
$ 150,703
$
217,080
OPERATING EXPENDITURES
74,359
33,499
25,565
82,890
82,840
47,105
[ CAPITAL OUTLAY
-
-
-
-
-
-
[ TOTAL
$
167,044
$
195,696
$
202,392
$
271,445
$ 233,543
$
264,185
FINANCE
PERSONAL SERVICES
$
539,816
$
514,984
$
580,627
$
504,435
$ 478,380
$
584,965
OPERATING EXPENDITURES
134,857
141,322
156,151
118,862
120,448
139,562
CAPITAL OUTLAY
-
-
-
-
-
-
TOTAL
$
674,673
$
656,306
$
736,778
$
623,297
$ 598,828
$
724,527
MANAGEMENT INFORMATION SERVICES
PERSONAL SERVICES
$
345,874
$
347,018
$
371,674
$
447,581
$ 411,720
$
461,740
OPERATING EXPENDITURES
163,865
166,312
171,793
280,290
224,405
214,725
CAPITAL OUTLAY
2,011
-
-
-
-
-
TOTAL
$
511,750
$
513,329
$
543,467
$
727,871
$ 636,125
$
676,465
HUMAN RESOURCES
PERSONAL SERVICES
$
-
$
$
-
$
174,271
$ 173,575
$
204,330
OPERATING EXPENDITURES
-
57,543
48,477
113,125
[ CAPITAL OUTLAY
1
-
-
-
-
TOTAL
$
-
$
-
$
-
$
231,814
$ 222,052
$
317,455
COMMUNITY DEVELOPMENT
PERSONAL SERVICES
$
392,517
$
416,308
$
403,613
$
581,168
$ 483,655
$
598,060
OPERATING EXPENDITURES
132,124
61,420
71,077
120,290
76,018
82,460
CAPITAL OUTLAY
14,650
-
-
15,000
15,000
88,500
TOTAL
$
539,290
$
477,728
$
474,690
$
716,458
$ 574,673
$
769,020
I
FY 19/20
FY 20/21
Department
Actual
Actual
POLICE DEPARTMENT - ADMINISTRATION
PERSONAL SERVICES
$
1,064,435
$
895,521 $
OPERATING EXPENDITURES
160,747
125,109
CAPITAL OUTLAY
38,694
-
J TOTAL
$
1,263,875
$
1,020,630 $
POLICE DEPARTMENT - OPERATIONS
PERSONAL SERVICES
$
3,029,232
$
3,153,248 $
OPERATING EXPENDITURES
245,672
275,264
CAPITAL OUTLAY
33,487
32,677
TOTAL
$
3,308,391
$
3,461,189 $
POLICE DEPARTMENT - INVESTIGATIONS
J PERSONAL SERVICES
$
878,785
$
954,685 $
OPERATING EXPENDITURES
123,458
143,558
CAPITAL OUTLAY
74,379
9,500
J TOTAL
$
1,076,622
$
1,107,742 $
POLICE DEPARTMENT - DISPATCH
PERSONAL SERVICES
$
573,959
$
566,550 $
OPERATING EXPENDITURES
8,886
10,955
CAPITAL OUTLAY
-
-
J TOTAL
$
582,845
$
577,505' $
POLICE DEPARTMENT - CODE ENFORCEMENT
[ PERSONAL SERVICES
$
169,750
$
170,981 $
j OPERATING EXPENDITURES
14,469
16,645
CAPITAL OUTLAY
-
-
TOTAL
$
184,219
S
187,626 $
C/J
FY 21122
FY 22123
FY 22123
FY 13124
Actual
I Budget
I
Projected
Budget
967,223
$ 761,310
$
722,605
$
830,225
101,079
113,770
111,465
133,065
9,125
-
-
-
1,077,427
$ 875,080
$
834,070
S
963,290
3,295,521
$ 3,674,360
$
3,473,890
$
3,972,645
319,925
371,259
365,695
380,370
32,555
77,550
71,000
29,260
3,648,001
$ 4,123,169
$
3,910,585
$
4,382,275
1,017,583
$ 1,170,620
$
1,041,930
$
1,315,280
140,023
158,440
157,980
168,325
3,593
13,000
11,682
11,500
1,161,198
S 1,342,060
$
1,211,592
$
1,495,105
587,522
$ 733,785
$
652,710
$
840,150
9,145
1( 95
11,236
16,090
596,667
$ 750,780
$
663,946
$
856,240
160,510
$ 181,777
$
128,475
$
193,025
17,611
20,790
15,665
20,205
178,121
$ 202,567
$
144,140
$
213,230
I
FY 19111
Department
Actual I
PUBLIC WORKS - ROADS AND MAINTENANCE
PERSONAL SERVICES
$
588,186 S
OPERATING EXPENDITURES
335,797
CAPITAL OUTLAY
39,190
TOTAL
$
963,173 $
FLEET MANAGEMENT
j PERSONAL SERVICES
$
180,924 $
OPERATING EXPENDITURES
18,950
CAPITAL OUTLAY
2,376
TOTAL
$
202,251 $
FACILITIES MAINTENANCE
[ PERSONAL SERVICES
$
279,726 $
[ OPERATING EXPENDITURES
234,361
CAPITAL OUTLAY
54,094
TOTAL
$
568,181 $
LEISURE SERVICES
PERSONAL SERVICES
$
736,297 $
OPERATING EXPENDITURES
218,871
CAPITAL OUTLAY
154,854
[ TOTAL
$
1,110,021 $
CEMETERY
PERSONAL SERVICES
$
151,633 $
OPERATING EXPENDITURES
26,103
j CAPITAL OUTLAY
-
TOTAL
$
177,736 $
NON -DEPARTMENTAL
PERSONAL SERVICES
$
264,098 $
OPERATING EXPENDITURES
707,675
CAPITAL OUTLAY
-
GRANTS AND AIDS
-
INTERFUND TRANSFERS OUT
4,691
TOTAL
$
976,464 $
FY 20111
j
FY 11122
FY 12123
f
FY 22123
FY 23114
Actual
I
Actual
Budget
I
Projected
1
Budget
555,076
$
552,611
$
689,530
$
638245
$
793,810
328,867
346,064
448,955
388:318
470,555
43,777
60,498
18,924
1
18,414
217,900
927,720
$
959,173
$
1,157,409
$
1,044,977
$
1,482,265
189,783
$
200,515
S
232,749
$
219,175
$
284,895
22,143
25,553
30,535
26,560
33,930
20,000
13,800
211,926
$
226,068
$
283,284
$
259,535
$
318,825
290,017
$
267,987
$
262,645
$
255,285
$
291,095
234,368
286,640
487,015
444,958
423,370
74,585
8,338
55,148
54,874
140,000
598,970
$
562,965
$
804,808
$
755,117
$
854,465
732,945
$
769,163
$
959,311
$
872,915
$
1,027,320
253,790
287,401
302,190
293,942
310,210
49,059
36,329
145,870
139,370
38,000
1,035,794
$
1,092,893
$
1,407,371
$
1,306,227
$
1,375,530
149,171
$
112,041
$
124,703
$
132,282
$
142,290
29,829
28,771
39,620
39,495
45,060
-
806
-
-
-
179,000
$
141,618
$
164,323
$
171,777
$
187,340
275,349
$
312,815
$
305,431
$
302,900
$
608,765
703,732
714,666
743,079
748,194
1,058,684
45,954
314,359
251,744
244,534
-
1,025,035
$
1,341,840
$
1,300,254
$
1,295,628
$
1,667,449
TOTALS
PERSONAL SERVICES $
9,741,182 $
9,850,753 $
10,268,218 $
11,486,671 $
10,670,917 $ 12,965,755
OPERATING EXPEivLiiurtb
2,727,851
2,616,922
2,824,607
3,493,213
3,249,270 3,812,016
CAPITAL OUTLAY
413,736
209,599
186,382
345,492
324,140 525,160
GRANTS AND AIDS
-
-
-
-
- -
INTERFUND TRANSFERS OUT'I
4,691
45,954
314,359
251,744
244,534
TOTAL GENERAL FUND J $ 12,887,460 $ 12,723,227 $ 13,593,567 $ 15,577,120 $ 14,488,861 $ 17,302,931
E
CITY OF SEBASTIAN, FLORIDA 2023-2024 ANNUAL BUDGET
FULL AND PART-TIME POSITIONS
Budget
Budget
Budget
Budget
Amended Budget
Budget
FY
2019/2020
FY 2020/2021
FY 2021/2022
FY
2022/2023
FY 2022/2023
FY 2023/2024
Department/Division
F/T
PIT
F/T
P/T
F/T
P/T
F/T
PIT
F/T
PIT
FIT
P/T
City Council
0
5
0
5
0
5
0
5
0
5
0
5
City Manager
2
0
2
0
2
0
2
0
2
0
2
0
City Clerk
2
1
2
1
2
1
2
0
2
0
3
0
City Attorney
1
0
1
0
1
0
1
0
1
0
1
0
Finance
6
0
6
0
6
0
7
0
5
0
6
0
Mgmt Information Services
4
2
4
2
5
2
5
2
5
2
5
2
Human Resources
0
0
0
0
0
0
0
0
2
0
2
0
Police Administration
7
2
7
1
8
1
7
1
7
1
7
1
Police Operations
32
0
32
0
32
10
35
10
35
10
37
10
Code Enforcement
3
0
3
0
3
0
3
0
3
0
3
0
Police Investigations
9
10
9
11
9
1
10
1
10
1
12
0
Police Dispatch
10
0
10
0
10
0
10
0
10
0
10
0
Roads & Maintenance
10
0
10
0
10
0
10
0
11
0
11
0
Fleet Management
3
0
3
0
3
0
3
1
3
1
4
0
Facilities Maintenance
4
0
4
0
3
0
4
0
4
0
4
0
Leisure Services
13
6
13
4
14
4
14
4
14
4
14
4
Cemetery
2
0
2
0
2
0
2
0
2
0
2
0
Community Development
5
0
5
0
5
0
7
0
7
0
7
0
GENERAL FUND TOTALS
113
26
113
24
115
24
122
24
123
24
130
22
Stormwater Utility
13
1
13
1
15
1
13
2
13
1
13
1
Golf Course Administration
2
4
2
4
2
4
2
4
2
4
3
3
Golf Course Carts
0
10
0
10
0
10
0
10
0
10
0
10
Golf Course Total
2
14
2
14
2
14
2
14
2
14
3
13
Airport
1
1
1
1
2
1
2
1
2
1
2
1
Building; Department
7
2
7
3
8
3
10
3
9
4
10
4
SUB -TOTALS
136.0
44.0
136.0
43.0
142.0
43.0
149.0
44.0
149.0
44.0
158.0
41.0
TOTAL POSITIONS
180.0
179.0
185.0
193.0
193.0
199.0
FULL-TIME POSITIONS
158.00
157.50
163.50
171.00
171.00
178.50
.... .......
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
CITY COUNCIL
City Council is the elected governing body for the City of Sebastian and serves in a legislative capacity.
City Council directs the offices of the City Manager, City Attorney and City Clerk. The City Council
adopts the City's annual budget, adopts and amends the Code of Ordinances and LDC, hears appeals to
decisions of the Planning and Zoning Commission, acts as the Community Redevelopment Agency and
Board of Adjustment, and hears citizen concerns and ideas at Council meetings, through public forums
and by individual contact. Individual members represent the Council on various County and regional
boards.
FISCAL YEAR 2023 ACCOMPLISHMENTS
FISCAL YEAR 2024 GOALS AND OBJECTIVES
PERFORMANCE MEASURES
Performance Indicators
Number of Council Meetings Conducted
Number of CRA Meetings Conducted
Number of Board of Adjustment Meetings Conducted
Number of Ordinances Adopted
Number of Resolutions Adopted
Number of Board Appointments
Actual
Actual
Actual
Projected
Projected
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
21
23
20
24
30
10
5
3
4
5
3
3
2
4
4
6
13
20
10
12
30
32
34
31
35
37
23
13
10
20
ITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE
CITY COUNCIL PROGRAM BUDGET DESCRIPTION
STAFFING NATURE OF ACTIVITY
22123 23124
40.00% 40.00% Regular and Special Meetings -Preparation and attendance at meetings (24 regular City Council and
other CRA, Board of Adjustment and Council workshops/special meetings). Responsible for all
legislative functions of City Government, including the establishment of laws and policies, and
appointing qualified citizens to boards and committees.
10.000/0 20.00% City Functions and Events - Attendance at functions. Public relations.
25.00% 20.00% Conference. Leeislatiw. County, State, and Local Meetings - Attendance at assigned County and
regional meetings. City representation at all levels of government and intra-governmental affairs.
f 25.00% 20.00% Citizens' Problems and Comdaints - Assisting Citizens in referring complaints and problems to the
Citv Manager for follow-up.
100.00% 100.000/0
CITY COUNCIL BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for City Council is $ 75,895. This compares to the 2022-2023 projected
expenditures of $ 57,785 an increase of $ 18,110, or 31.34%.
Amended
Projected
FY 19/20 FY 20/21 FY 21/22
FY 22/23
FY 22/23
FY 23/24
Actual Actual Actual
Budget
Expenditures
Budget
Difference
Personal Services $ 22,728 $ 22,732 $ 22,726
$ 22,725
$ 22,725
$ 22,725
$
0
Operating Expenditures 23,973 33,151 34,498
40,000
35,060
53,170
18,110
Capital Outlay - - -
-
-
-
-
Total $ 46,702 $ 55,883 $ 57,224
$ 62,725
$ 57,785
$ 75,895
$
18,110
Fiscal Year 2023-2024 Proposed Budget -
Major Current Level Changes from Fiscal Year 2022-2023 Projected Expenditures:
Difference
1. Personal Services - No change.
$
0
2. Operating Expenditures - Increase due primarily to additional conferences and
trainings.
$
18,110
3. Capital Outlay - No change.
$
-
PERSONAL SERVICES SCHEDULE
CITY COUNCIL.
FULL TIME EQUIVALENTS
Projected
PAY
Amended
Expenditures
Budget
POSITION
RANGE
21/22 22/23 22/23
23/24
22/23
23/24
Mayor
5,400
1.00 1.00 1.00
1.00
$ 5,400
$ 5,400
Vice -Mayor
3,600
1.00 1.00 1.00
1.00
3,600
3,600
Council Member
3,600
3.00 3.00 3.00
3.00
10,800
10,800
5.00 5.00 5.00
5.00
TOTAL SALARIES
$ 19,800
$ 19,800
FICA Taxes
2,892
2,892
Worker's Compensation Insurance
33
33
Total Personal Services
$ 22,725
$ 22,725
12
CITY OF SEBASTIAN, FLORIDA2023/2024 ANNUAL BUDGET
CITY COUNCIL
Code: 010001
Amended
Proposed
Account
FY 19/20
FY 20/21
FY 22/22
FY 22/23
FY 22123
FY 23/24
Number Description
Actual
Actual
Actual
Budget
Projected
Budget
PERSONAL SERVICES
511200 Legislative Salaries
19,800
19,800
19,800
19,800
19,800
19,800
512100 FICA Taxes
2,892
2,892
2,892
2,892
2,892
2,892
I512400 Worker's Comp Insurance
37
41
35
33
33
33
TOTAL PERSONAL SERVICES
22,728
22,732
22,726
22,725
22,725
22,725
OPERATING EXPENDITURES
534000 Travel & Per Diem
18,573
24,841
26,698
31,150
28,900
40,750
534105 Cellular Telephone
1,158
1,526
1,503
1,610
1230
1,440
534110 Internet Access
1,169
1,414
1,156
1200
1200
1,200
534800 Promotional Activities
554
460
824
500
280
1,670
535200 Departmental Supplies
1214
622
486
500
200
815
535210 Computer Supplies
620
1,039
0
765
100
200
535410 Dues and Memberships
200
0
200
200
200
200
535420 Books and Publications
160
0
0
25
200
120
535450 Training and Education
324
3,248
3,630
4,050
2,750
6,775
TOTAL OPERATING EXPENDITURES
23,973
33,151
34,498
40,000
35,060
53,170
CAPITAL OUTLAY
606400 Vehicles and Equipment
0
0
0
0
0
0
TOTAL CAPITAL OUTLAY
0
0
0
0
0
0
TOTAL CITY COUNCIL
46,702
55,883
57,224
62,725
57,785
75,895
13
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGED
CITY MANAGER
In 1987, the voters of Sebastian adopted the Council/Manager form of government. The City Manager,
appointed by and serving at the pleasure of the City Council, is the chief operating officer of municipal
government. The City Manager's office provides administrative direction for all municipal operations
consistent with goals adopted by City Council. As such, the City Manager implements policies of the
City Council and is responsible for the oversight of the day-to-day operations of the City, as well as
ensuring that services and operations function in an efficient, timely and cost-effective manner, while still
in accordance with City Council objectives.
As chief operating officer of the City, the City Manager's office is involved in the following functions: the
daily administration of the City; appointing authority for all City employees; supervision and evaluation
of the management team; coordination of intra and inter -governmental affairs; acting as the administrative
spokesperson for the City; formulation of the annual budget; recommendations with respect to
departmental and non -departmental expenditures and the capital improvement program; preparation of
reports and data to assist the City Council in making formal decisions; ensuring effective and efficient
action on citizen complaints and requests for service; and conducting administrative research and
analysis.
FISCAL YEAR 2023 ACCOMPLISHMENTS
FISCAL YEAR 2024 GOALS AND OBJECTIVES
City Goal: Governmental Efficiency
City Operations
Quality Service to Citizens
Provide Effective Support to City Council
Maintain Positive Intergovernmental Relations
rCITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE
T1
PERFORMANCE MEASURES
Actual Actual Actual Projected Projected
Performance Indicators
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
Per Capita Level of Service Cost
$512
$496
$592
$559
$668
JPer Capita Number ofFull time Employees
5.40
5.30
5.48
5.75
6.10
�General Fund Unrestricted Funds vs. Expenditures
44.25%
52.58%
53.40%
66.34%
55.55%
CITY MANAGER PROGRAM BUDGET DESCRIPTION
STAFFING NATURE OFAC77VITY
22123 23124
40.00% 40.00% Management and Suaervision of City Programs and Projects - Plan, organize, direct, coordinate, and
report on City Projects. Improve and expand efforts forquality public services.
20.00% 20.00% Preaaration of D�q Council Agends - Provide City Council members with recommendations on issues
requiring legislative actions and implementation of their decisions. Initiate and review all matters
requiring City Council actions.
20.00% 20.00% Intergowrnmental Affairs - Represent City in intergovernmental matters. Serve as City representative
on task forces, committees and planning groups. Administer inter -local agreements. Monitor and
report State and Federal legislation affecting the City.
20.00% 20.00% Purchasing and Contract Administration - Provide City Departments/Divisions assistance in
purchasing policy compliance. Assist with solicitations for professional services in accordance with
applicable policies and legal restrictions.
100.00% 100.00%
CITY MANAGER BUDGET SUMMARY
The Fiscal Year 2023-2024 adopted budget for City Manager is $ 324,110. This compares to the 2022-2023 projected expenditures of
$341,246, a decrease of $
17,136 or-5.02%.
Amended
Projected
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Actual
Actual
Actual
Budget
Expenditures
Budget
Difference
Personal Services
$ 258,605 $
273298
$ 285596
$ 289586
$ 323256
$ 306,885
$ (16,371)
Operating Expenditures
10,730
12,645
13,696
19,795
17,990
1745
(765)
Capital Outlay
-
-
35,137
-
-
-
-
Total
$ 269,335 $
285,943
$ 334,429
$ 309.381
$ 341.246
$ 324,110
$ (17,136)
Fiscal Year 2023-24 Proposed- Budget:
Major Current Level Changes from Fiscal Year 2022-23 Projected Expenditures: Difference
1. Personal Services - Decrease due to payout in the prior year. $ (16,371)
2. Operating Expenses - Decrease due primarily to replacement of office furniture in the prior year. $ (765)
3. Capital Outlay - No change. $ -
/-J5'
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE
PERSONAL SERVICES SCHEDULE
CITY MANAGER
FULL TA EEQUIVALFNI'S
Projected
PAY
Amended
Expenditures
Budget
POSITION
RANG
21/22 22/23 22/23 23/24
22/23
23/24
City Manager *
144,564 / 252,987
1.00 1.00 1.00 1.00
$ 181,000
$ 161,500
City Office Manager/Public Info Officer
47,066 / 82,365
1.00 1.00 1.00 1.00
64,915
68,250
2.00 2.00 2.00 2.00
TOTAL SALARIES
$ 245,915
$ 229,750
* Salary amount includes Auto Allowance
FICA Taxes
19,000
17,575
of$ 500/mon ($ 6,000/yr)
Deferred Compensation
20,500
20,138
Group Health Insurance Premium
37,450
39,029
Fxnployee Assistance Program
32
35
Worker's Comp Insurance
359
358
Total Personal Services
$ 323,256
$ 306,885
1
16
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGETI
CITY MANAGER
Code:010005
Account
Number
Description
PERSONAL SERVICES
511200
Regular Salaries
512100
FICA Taxes
512225
Deferred Compensation
512301
Group Health Insurance Premium
512309
Employee Assistance Program
512400
Worker's Comp Insurance
TOTAL PERSONAL SERVICES
OPERATING EXPENDITURES
534000
Travel and Per Diem
534105
Cellular Phone
534120
Postage
534420
Equipment Leases
534620
R & M - Vehicles
534630
R & M - Office Equipment
534800
Promotional Activities
535200
Departmental Supplies
535210
Computer Supplies
535260
Gas and OR
535410
Dues and Memberships
535450
Training and Education
TOTAL
OPERATING EXPENDITURES
CAPITAL OUTLAY
606400 Vehicles and Equipment
TOTAL CAPITAL OUTLAY
FY 19/20 FY 20/21 FY 21/22
Actual Actual Actual
Amended
Proposed
FY 22/23 FY 22/23
FY 23/24
Budget Projected
Budget
196,315
209,041
218,163
220,290
245,915
229,750
14,266
15,301
16,171
16,852
19,000
17,575
17,650
18,805
19,617
19,790
20,500
20,138
29,982
29,745
31,280
32,256
37,450
39,029
32
32
32
32
32
35
359
375
334
366
359
358
258,605
273,298
285,596
289,586
323,256
306,885
1,714
804
1,475
3,450
2,000
3,450
554
890
749
555
575
600
9
12
4
50
20
50
1,059
797
787
1,735
1,700
1,700
255
1,537
1,462
500
500
500
433
230
316
780
820
900
1,587
2,274
1,581
3,000
3,000
3,000
499
653
579
3,450
3,450
750
30
270
0
400
250
400
2,288
2,778
4,234
2,300
2,300
2,300
1,584
1,850
1,908
1,950
1,750
1,950
720
550
600
1,625
1,625
1,625
10,730
12,645
13,696
19,795
17,990
17,225
0
0
35,137
0
0
0
0
0
35,137
0
0
0
TOTAL CITY MANAGER 269,335 285,943 334,429 309,381 341,246 324,110
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE
CITY CLERK
The City Clerk is a Charter Officer who is appointed by and serves under the direction of the City Council. The
office maintains the City seal, attests all documents, provides legislative support, maintains permanent records of
the City, scans and provides availability of scanned documents to City staff and the public through the website in
Laserfiche. The City Clerk is the City Elections Official, Canvassing Board Chair, and Records Management
Liaison Officer for all City department records except Law Enforcement. The office is responsible for the City's
records management program, cemetery sales and records, administration of City board and committee
appointments, financial disclosure, orientation, ordinance codification, and provides recording services to City
Council, CRA, Board of Adjustment, and Charter Review Committee.
FISCAL YEAR 2023 ACCOMPLISHMENTS
FISCAL YEAR 2024 GOALS AND OBJECTIVES
Direct Overall Municipal Service Delivery with specific focus on:
19
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
PERFORMANCE MEASURES
Actual
Actual
Actual
Projected
Projected
(Performance Indicators
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
(Records Scanned (in cubic feet)
50
35
10
35
10
Records Destroyed (in cubic feet)
307
370
424
275
300
Council Meeting Packets/Minutes
21
21
21
20
20
Cemetery Lots/Niches Sold
60
100
88
75
75
Election -Candidates Qualified
17
6
7
10
4
ILegal/Display Ads Published
16
11
4
10
10
,Code Supplements Distributed
2
2
0
2
2
(Board Appointments Administered
37
23
8
12
12
(Instruments Recorded
2
5
10
6
6
IPublic Records Requests
200
233
173
225
250
Other Committee Meeting Minutes Recorded
15
16
12
28
24
CITY CLERK PROGRAM BUDGET DESCRIPTION
STAFFING NATURE OF ACTIVITY
22123 23124
15.00% 15.00% Services for City Council -Prepare Council agendas, advertise hearings, post notices, take minutes of Council
meetings, administer follow-up of City Council action items, prepare correspondence, prepare City Council
budget, make Council travel arrangements, research services, attest & seal all documents executed by Mayor and
City Manager, schedule invocations, prepare proclamations, resolutions, certificates of appreciation, prepare for
and conduct Council orientation w/ CM and CA, coordinate w/ MIS for broadcast of Council, CRA, Board of
Adjustment meetings.
20.00% 25.00% Services for Citizens - Receive and respond to general City website e-mail link, respond to public records
requests and inquiries, provide computer for public research, post legal notices, and make imaged records
available on City website via Laserfiche Weblink.
15.00% 20.00%
Services for Boards/Committees - Board liaison, advertise vacancies, administer financial disclosure forms,
update Commission on Ethics website annually, record and provide services to Board of Adjustment and CRA.
Maintain and update Board Handbook, and conduct board member orientation and prepare outgoing certificates.
15.00% 10.00%
Records Mana,_,ement - Scan all permanent and long term records for staff and public into Laserfiche,
administer public records requests, coordinate paper recycling and records destruction with recycling contractor
in accordance with State law, maintain, update and distribute adopted Records Management Procedures Manual,
coordinate with Records Liaisons Committee, maintain all original City documents, i.e. ordinances, resolutions,
agreements, deeds, terminated personnel files, conduct records research for staff as requested. Conduct staff
training in records management. Scans and distributes agenda packets for all City boards and Council.
15.00% 10.00% Cemeter]' - Coordinate with Cemetery Sexton on sale of cemetery lots, maintain cemetery records/database.
Respond to customer concerns and complaints.
10.00% 10.00% General Administration - Prepare, post, and distribute monthly calendar, prepare annual budget for
department, attend staff meetings, codify ordinances, record final plats and easements, record vacations of
easement, keep log of all City vehicles, attest and seal City documents, provide notary services for City
documents, respond to Cityseb emails.
10.00% 10.00%
City Election - The City Clerk is the City Elections Official and Chairperson of the City Canvassing Board,
qualifies candidates for office and political committees, coordinates with Supervisor of Elections and State of
Florida in administration of annual general elections, prepares resolutions and forms, swears in elected officials.
100.00% 100.00%
11
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGED
CITY CLERK BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for City Clerk is $ 355,260. This compares to the 2022-2023 projected expenditures of $ 227,016 an
increase of $128,244, or 56.491/o.
Amended Projected
FY19/20 FY20/21
FY21/22 FY22/23 FY22/23
FY23/24
Actual Actual
Actual Budget Expenditures
Budget
Difference
Personal Services $ 171,932 $ 180,890
$ 183,664 $ 182,129 $ 186,492
$ 270,480
$ 83,988
Operating Expenses 92,955 24,314
74,951 40,895 40,524
84,780
44,256
Capital Outlay - -
- - -
-
-
Total $ 264,887 $ 205,204
$ 258,614 $ 223,024 $ 227,016
$ 355,260
$ 128,244
Fiscal Year 2023-2024 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-2023 Projected Expenditures:
Difference
1. Personal Services - Increase due to an additional position,
negotiated pay increases, and insurance costs.
$ 83,988
2. Operating Expenses - Increase due primarily to higher election year costs.
$ 44,256
3. Capital Outlay - No change.
$
PERSONAL SERVICES SCHEDULE
CITY CLERK
FULL TIME EQUIVALENTS
Projected
PAY
Amended
Expenditures
Budget
POSITION RANGE
21/22 22/23 22/23 23/24
22/23
23/24
City Clerk 70,868 / 124,019
1.00 1.00 1.00 1.00
$ 100,200
$ 105,250
Deputy City Clerk 49,419 / 86,483
0.00 0.00 0.00 1.00
-
49,500
Records Specialist 33,449 / 58,535
1.00 1.00 1.00 1.00
46,000
47,250
Clerical Assistant I (P/T) $13.89/hr - $ 24.31/hr
0.50 0.00 0.00 0.00
-
-
2.50 2.00 2.00 3.00
TOTAL SALARIES
$ 146,200
$ 202,000
Overtime
100
200
FICA Taxes
11,200
15,470
Deferred Compensation
13,200
18,199
Croup Health Insurance Premium
15,535
34,235
Employee Assistance Program
32
52
Worker's Comp Insurance
225
324
Total Personal Services
$ 186,492
$ 270,480
20
LITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
CITY CLERK
Code : 010009
Amended Proposed
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Number
Description
Actual
Actual
Actual
Budget
Projected
Budget
PERSONAL
SERVICES
511200
Salaries
132,379
142,865
144,521
142,400
146,200
202,000
511400
Overtime
0
0
129
200
100
200
512100
FICA Taxes
9,848
10,781
10,995
10,910
11,200
15,470
512225
Deferred Compensation
11,164
12,011
12,853
12,816
13,200
18,199
512301
Group Health Insurance Premium
18,264
14,945
14,901
15,532
15,535
34,235
512309
Employee Assistance Program
32
32
32
32
32
52
512400
Worker's Comp Insurance
245
256
233
239
225
324
TOTAL PERSONAL SERVICES
171,932
180,890
183,664
182,129
186,492
270,480
533400
Other Contractual Services
1,873
1,648
2,079
2,720
2,512
3,700
533490
Codification Services
3,378
3,443
3,902
4,650
3,940
5,450
534000
Travel and Per Diem
0
0
15
866
60
2,200
534105
Cellular Phone
262
445
443
460
460
480
534120
Postage
510
454
550
500
500
500
534420
Equipment Leases
1,260
1,511
1,494
2,195
2,155
1,115
534630
R & M - Office Equipment
1,630
1,578
1,863
2,220
2,850
2,940
534910
Clerk of Court Filing Fees
132
249
547
800
800
800
534920
Legal Ads
901
2,268
3,730
3,500
5,230
4,000
534990
Election Costs
81,976
10,853
59,114
20,460
20,344
60,815
535200
Departmental Supplies
307
493
528
1,100
1,100
600
535210
Computer Supplies
267
412
0
400
0
500
535230
Small Tools and Equipment
0
391
200
0
0
0
535410
Dues and Memberships
460
568
315
524
423
780
535450
Training and Education
0
0
170
500
150
900
TOTAL OPERATING EXPENDITURES
92,955
24,314
74,951
40,895
40,524
84,780
CAPITAL OUTLAY
606400
Vehicles and Equipment
0
0
0
0
0
0
TOTAL CAPITAL OUTLAY
0
0
0
0
0
0
TOTAL CITY CLERK
264,887
205,204
258,614
223,024
227,016
355,260
21
ITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE
CITY ATTORNEY
The City Attorney is appointed by the City Council to serve as the City's legal counsel. The City
Attorney is the legal advisor and attorney to officials of the City in matters affecting the City or relating to
official duties of City Officers. The City Attorney represents the City in all legal transactional and
litigation matters, and monitors the representation of the City by outside counsel where appropriate.
The Office of City Attorney prepares legal instruments, including resolutions, ordinances, closing
documents, bond sale documents, and legal opinions, as required.
The budget for the Office of City Attorney also includes legal fees paid to special counsel for the Code
Enforcement Board and litigated actions, as required.
FISCAL YEAR 2023 ACCOMPLISHMENTS
✓ Attended City Council, Planning and Zoning, Code Enforcement/Special Magistrate,
Construction Board, and Board of Adjustment meetings.
✓ Provided regular updates to the City Council on changes to federal and state laws, as well as
pending suits, settlements, and legal cases.
✓ Provided legal advice to the City Building Official and Construction Board during Construction
Board/Public Hearings and on the Construction Board's orders.
✓ Provided legal support on significant police matters, including forfeiture, Risk Protective Orders,
School Resource Officer agreements, and legal publications on abandoned vehicles.
✓ Provided legal support on significant Human Resources matters, including Union Negotiations,
discipline, Last Chance Agreements, and policies.
✓ Maintained a professional network with local government attorneys from Indian River County,
Sheriff, School Board, and other municipalities in the County.
✓ Assisted in reviewing and updating procurement documents and procedures.
✓ Reviewed significant legal claims and insurance settlements, as deemed necessary.
FISCAL YEAR 2024 GOALS AND OBJECTIVES
➢ Attend City Council, Planning and Zoning, Code Enforcement/Special Magistrate, Construction
Board, and Board of Adjustment Meetings.
➢ Attend the Florida Municipal Attorney Association; City, County, and Local Government; and
Land Use or Labor and Employed Law Annual Update Seminars.
➢ Provide quality legal advice and services to the City Council, various boards, and City staff.
➢ Continue to provide regular updates to the City Council on changes to federal and state laws, as
well as pending suits, settlements, and legal cases.
➢ Provided legal support on a City Election and the law, including being a member of the
Canvassing Board.
➢ Continue to serve as the police legal advisor to the City of Sebastian Police Department on
forfeiture, Risk Protective Orders, School Resource Office Agreements, and other legal matters.
➢ Continue to provide legal support on land use matters, including meeting and negotiating with
staff, developers and their attorneys, and amending the Land Development Codes.
➢ Continue to provide legal support for all department heads.
➢ Continue to maintain a professional network with local government attorneys from Indian River
County and other municipalities in the County.
➢ Continue to give advice and assist in reviewing and updating procurement documents and
procedures.
➢ Continue to review significant legal claims and insurance settlements, as deemed necessary.
➢ Coordinate and monitor the use of any outside council services.
➢ Draft and/or review proposed ordinances, resolutions, releases, orders, and other legal documents,
as needed.
12
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET'I
PERFORMANCE MEASURES
Actual
Actual
Actual
Projected
Projected
Performance Indicators
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
Number of Resolutions
9
35
34
40
40
(Number of Ordinances
6
5
16
20
20
(Number of Meetings
35
40
60
60
60
(Number of Orders
n/a
20
20
30
30
CITY ATTORNEY PROGRAM BUDGET DESCRIPTION
STAFFING NATURE OF ACTIVITY
22123 23124
25.00% 25.00% Counsel to City Council and Other fLty Bodies - Attend workshops, regular and special meetings of City Council,
Planning Commission, Board of Adjustment, and Code Enforcement Board, as well as other City bodies as assigned
and provide advice as to the law and procedures.
25.00% 25.00% Function as fib's Solicitor - Prepare and review ordinances, resolutions, contracts, property instruments and other
legal documents on behalf of the City.
40.00% 40.00% ffty Legal Advisor - Provide legal counsel to and attends meetings with City Manager, department directors and key
personnel on a day-to-day basis. Provide legal opinions to City Council and Manager as requested.
10.001/6 10.001/o Legal Rearesentative - Represent City in litigation and administrative proceedings as required. Act as General
Counsel to the City in the supervision of outside counsel.
100.000/0 100.00%
23
LCITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE
CITY ATTORNEY BUDGET SUMMARY
'The Fiscal Year 2023-2024 proposed budget for the City Attorney is $ 264,185. This compares to the 2022-2023
projected expenditures of $ 233,543, an increase of $ 30,642, or 13.12%.
Amended Projected
FY 19/20 FY 20/21 FY 21/22 FY 22/23 FY 22/23
FY 23/24
Actual Actual Actual Budget Expenditures
Budget
Difference
Personal Services $ 92,686 $ 162,196 $ 176,827 $ 188,555 $ 150,703
$ 217,080
$ 66,377
Operating Expenses 74,359 33,499 25,565 82,890 82,840
47,105
(35,735)
Capital Outlay - - - - -
-
-
Total $ 167,044 $ 195,696 $ 202,392 $ 271,445 $ 233,543
$ 264,185
$ 30,642
Fiscal Year 2023-24 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-23 Projected Expenditures:
Difference
1. Personal Services - Increase due primarily to having position full all year and auto allowance.
$ 66,377
2. Operating Expenses - Decrease due to lower anticipated outside counsel expenses.
$ (35,735)
3. Capital Outlay - No change.
$ -
PERSONAL SERVICES SCHEDULE
CITY ATTORNEY
FULL TIlNEEQUIVALENTS
Projected
PAY
Amended
Expenditures
Budget
POSITION RANG
21/22 22/23 22/23 23/24
22/23
23/24
City Attorney * 137,680 / 240,940
1.00 1.00 1.00 1.00
$ 113,000
$ 159,200
1.00 1.00 1.00 1.00
TOTAL SALARIES
$ 113,000
$ 159,200
* Salary amount includes Auto Allowance
Overtime
-
-
of $ 350/mon ($ 4,200/yr)
FICA Taxes
8,630
12,180
Deferred Compensation
9,400
13,952
Group Health Insurance Premium
19,500
31,529
Employee Assistance Program
12
17
Worker's Comp Insurance
161
202
Total Personal Services
$ 150,703
$ 217,080
;?q
[CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
CITY ATTORNEY
Code: 010010
Amended Proposed
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Number
Description
Actual
Actual
Actual
Budget
Projected
Budget
PERSONAL SERVICES
511200
Salaries
70,154
123,348
130,171
137,950
113,000
159,200
512100
FICA Taxes
5,653
9,436
9,958
10,555
8,630
12,180
512225
Deferred Compensation
6,231
11,092
11,697
12,398
9,400
13,952
512301
Group Health Insurance Premium
10,639
18,124
24,831
27,434
19,500
31,529
512309
Employee Assistance Program
9
16
16
16
12
17
512400
Worker's Comp Insurance
0
180
153
202
161
202
TOTAL
PERSONAL SERVICES
92,686
162,196
176,827
188,555
150,703
217,080
OPERATING EXPENDITURES
533400 Other Contractual Services
73,062
23,708
15,077
65,200
65,200
30,700
534000 Travel and Per Diem
0
593
0
3,000
3,000
3,000
534105 Cellular Phone
484
448
440
445
420
480
534115 On -Lime Services
0
5,031
6,859
7,065
7,065
7,385
534120 Postage
15
47
0
40
40
25
534130 Express Mail
24
0
0
30
30
50
534420 Equipment Leases
40
797
787
630
605
605
534630 R & M - Office Equipment
22
231
331
300
300
360
535200 Departmental Supplies
366
966
0
2,500
2,500
1,000
535210 Computer Supplies
0
48
0
0
0
100
535410 Dues and Memberships
345
355
355
680
680
650
535420 Books and Publications
0
0
1,715
1,000
1,000
1,750
535450 Training and Education
0
1,275
0
2,000
2,000
1,000
TOTAL OPERATING EXPENDITURES
74,359
33,499
25,565
82,890
82,840
47,105
CAPITAL OUTLAY
606400 Vehicles and Equipment
0
0
0
0
0
0
TOTAL CAPITAL OUTLAY
0
0
0
0
0
0
TOTAL CITY ATTORNEY
167,044
195,696
202,392
271,445
233,543
264,185
7--'�
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET+
FINANCE DEPARTMENT
The Finance Department primarily provides support services to other City departments. It is organized
into two primary sections, which are Finance and Purchasing.
The Finance Section's main responsibility is to conduct the fiscal affairs of the City in compliance with
all applicable laws, regulations, and sound business practices and to diligently safeguard the resources of
the city. It is also is responsible for documenting compliance with grant provisions, processing grant
reimbursements and monitoring construction projects to assure spending is within amounts appropriated.
The Purchasing Section monitors all purchases and new agreements. An effort is made to regularly
review outstanding agreements to be sure renewals are timely and the terms are adhered to.
FISCAL YEAR 2023 ACCOMPLISHMENTS
✓ Twenty-fourth time awardee of the Government Finance Officers Association Certificate of
Achievement for Excellence in Financial Reporting for the Comprehensive Annual Financial -
Report and eighteenth time awardee of the Government Finance Officers Association
Distinguished Budget Presentation Award.
✓ Maintained American Express corporate card and Bank of America purchasing card programs.
✓ Processed weekly accounts payable checks accurately and with minimal issues.
✓ Served as risk manager regarding property and liability insurance policies and claims.
✓ Provided administrative support to the Police Officers Pension Plan.
✓ Handled grant accounting and financial reporting requirements in coordination with other
departments expected to adhere to requirements for narrative reports on progress.
✓ Processed bi-weekly payroll and insured adherence to labor agreement provisions.
✓ Participated in extended negotiations for new three year labor agreements.
✓ Issued request for proposals and followed State procedures to select a new auditing- firm.
FISCAL YEAR 2024 GOALS AND OBJECTIVES
➢ Generate cost savings ideas through internal audits/staff involvement.
➢ Continue to provide responsive service to all customers, citizens, vendors, and employees.
➢ Submit 2022-2023 Comprehensive Annual Financial Report for Excellence for Financial
Reporting Award and 2023-2024 Annual Budget document for the Distinguished Budget
Presentation Award to the Government Finance Officers Association.
➢ Provide timely financial information to the City administration and the general public by issuing
the City's Comprehensive Annual Financial Report no later than February 28th each year.
➢ Provide timely adopted budget document to the City administration and the general public by
issuing the City's Annual Budget document no later than October 31th each year.
➢ Continue staff training in accounting, risk management, and emergency management.
➢ Work to document procurement processes and procedures in a form that can be easily followed.
➢ Reevaluate purchasing procedures and seek approvals for revisions as needed.
➢ Participate in efforts to streamline and make the purchasing process more efficient.
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGETJ
PERFORMANCE MEASURES
Performance Indicators
Program Cost Per Capita
Journal Entries Processed
Accounts Pavable Invoices Processed
Accounts Pavable Checks Processed
Purchase Orders Processed
Payroll Checks Processed
IPurchasing/Corporate Card Transactions Processed
Purchasing Card Users
I Garage Sale Permits Issued
Number of Fixed Assets Records
1Comprehensive Annual Financial Statement issued
Annual Budget Document issued
Excellence in Financial Reporting Award (consecutive years)
Distinguished Budget Presentation Award (consecutive years)
Actual
Actual
Actual
Projected
Projected
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
$26.81
$25.58
$28.95
$23.11
$27.96
940
939
957
1,000
1,000
3,001
3,055
3,329
3,500
3,400
1,983
2,019
2,039
2,150
2,100
350
400
387
425
425
4,372
4,429
4,557
4,600
4,500
2,747
2,770
2,877
3,000
3,000
41
41
42
42
44
385
374
693
850
800
2,695
2,687
2,699
2,700
2,700
02/24/21
03/03/22
03/22/23
03/01/24
03/01/25
10/25/19
11/10/20
11 /16/21
10/28/22
10/28/23
22
23
24
25
26
16
17
18
19
20
27
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE1j
FINANCE PROGRAM BUDGET
STAFFING
22123 23124 NATUREOFACTIVITY
General Accounting - Data entry for general ledger activity for all City operations, bank reconciliations, preparation of
federal, state and local reports, and allocation of charges to City departments. Ensure all accounting information is
18.00% 21.00% entered timely and accurately. Maintain fixed assets records and ensure assets are recorded and tagged properly.
Account for all Capital Projects. Prepare monthly rental and lease invoices. Monitor and review airport and facility lease
agreements.
Accounts Payable - Review all requests for payment and prepare checks. Process and pay purchasing card transactions.
10.00% 13.00% Ensure appropriate discounts are taken and invoices are paid prior to due date, audit travel expense reports and prepare
yearend 1099's.
Budget - Assist the City Manager in preparation of annual budget. Ensure budget is comprehensive as to
6.00% 8.00% communication, coordination and control. Submit final budget to the Government Finance Officers Association Awards
Program and quarterly budget amendment packages to the Council.
Payroll - Review and process payroll, including benefits, deductions, leave availability, and workers compensation.
9.00% 6,00% Prepare quarterly reports to the workers compensation insurance carrier. Prepare employee insurance invoices Eor
payment. Monitor ADP to insure quarterly and annual payroll taxreports and year end W-2's are processed correctly.
Auditing and Financial Reporting - Analyze general ledger accounts, develop and prepare subsidiary ledgers for the
annual audit. Analyze financial data. Prepare monthly budget to actual statements and annual financial statements.
5.00% 7.00% Prepare annual State reports, such as Comptrollees Report, Transportation Report, and other complex financial analyses.
Invest operating and construction funds. Make debt service payments and record transactions. Complete the
Comprehensive Annual Financial Report and submit to the Goverment Finance Officers Association Award Program
Contract and Agreement Management -Maintain a contract database tracking all deliverables, terms, and action dates.
10.00% 10.00% Review terms and make recommendations for any potential changes. Support Department Heads and Project Managers
on contract issues.
Procurement -Research, negotiate pricing, seek out best practices and implement for procurement. Support Department
6.00% 11.00% Heads and staff in the procurement process. Build City relationships with vendors. Update Policies and Procedures as
needed.
Hiring New Emnlovees - Post position, accept applications, screen applications for minimum qualifications, prepare
employment and rejection letters, prepare new hire package, schedule pre -employment physical and drug screens,
3.00% 0,00% conduct new hire orientations, conduct employment and background investigations, coordinate with departments
regarding examinations for skilled positions. Interview applicants as part ofpanel.
Customer Service - Respond to customer inquiries both in person and on the phone. Route incoming calls, complaints,
6.00% 9.00% concerns, etc to the appropriate department. Receive mail and packages and sort and distribute appropriately. Provide
support to other employees and departments as needed.
Employee Support - Provide protection to both City and employees by following federal and state laws/regulations.
Manage employee relations and identify labor costs. Mediate and resolve disputes between management and
3.00% 0.00% employees. Maintain, update, and implement City Human Resources policies and procedures. Develop and coordinate
employee training. Review and revise job descriptions and pay scales. Maintain all employee files. Provide
administrative support to the Police Pension Plan.
Grants &c Special Proieets - Responsible for quarterly status, reimbursement reports, close out documentation and
2.00% 1.00% federal and state compliance to grantors. Compile data on hurricane damages, submit, and follow up on.
In -Service Actions - Process employee action notices for activity - promotions, demotions and transfers. Maintain
3.00% 0.00% personnel and subject files. Update salary schedules and compensation plans. Administer employee evaluation
program
EYtecti,m Insurance Plans - Develop and maintain a comprehensive, innovative and effectively managed insurance
3.00% 0.00% benefits plan for all employees and dependents. Provide clear prevention opportunities and participation options for
employees and dependents.
Risk Management - Ensure that liability insurance claims are promptly submitted to the insurance carrier. Resolve minor
claims that are lower than deductible limits in a fair and consistent manner. Insure Workers Compensation claims are
4.00% 1.00% submitted to carrier. Maintain correspondence with insurance carrier for all liability and workers compensation claims
from inception to completion or return to work. Negotiate carrier benefits and rates. Coordinate all safety training.
Union Necotiations. Contract Administration - Negotiate labor agreements with both PBA and CWA and any Memos
of Understanding necessary during the life of existing contracts. Perform support research, document preparation and
1.00% 1.00% record minutes. Review, rewrite and organize Rules and Regulations.
Cash Management - Collect revenues from taxes, intergovernmental revenues, franchise fees, utility taxes, occupational
licenses, parking citations, special assessments, and rentals. Monitor collections as compared to budget. Invest any
10.00% 8.00% available cash balances, as warranted.
Records Management - Records storage, disposition, and destruction. Insure annual compliance. Complete
1.00% 4.00% transmittals, box labels, records disposition and destruction fours, and update master log.
100.00% 100.00%
145
ITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE
FINANCE BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for Finance is $724,527. This compares to the 2022-2023 projected expenditures of $598,828,
an increase of $125,699, or 20.99% .
Amended
Projected
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
Actual
Actual
Actual
Budget
Expenditures
Personal Services
$ 539,816
$ 514,984
$ 580,627
$ 504,435
$ 478,380 $
Operating Expenses
134,857
141,322
156,151
118,862
120,448
Capital Outlay
-
-
-
-
-
Total
$ 674,673
$ 656,306
$ 736,778
$ 623,297
$ 598,828 $
Fiscal Year 2023-24 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-23 Projected Expenditures:
1. Personal Services - Increase due to a new position, negotiated pay increases, and insurance costs.
2. Operating Expenses - Increase due primarily to audit fee, payroll service fee, and software fee increases.
3. Capital Outlay - No change.
PERSONAL SERVICES SCHEDULE
FINANCE DEPARTMENT
FY 23/24
Budget Difference
584,965 $ 106,585
139,562 19,114
724,527 $ 125,699
Difference
$ 106,585
$ 19,114
FULL T014EEQUIVALENTS
Projected
PAY
Amended
Expenditure
Budget
POSITION
RANGE
21/22 22123 22/23
23/24
22/23
23/24
Finance Director
94,838 / 165,966
1.00 1.00 1.00
1.00
$ 152,450 $
161,500
Assistant Finance Director
70,868 / 124,020
1.00 1.00 1.00
1.00
83,250
89,750
Procurement/Contracts Manager
63,073 / 110,377
1.00 1.00 1.00
1.00
60,150
66,250
Accountant
42,690I74,708
1.00 1.00 1.00
2.00
50,500
96,000
Accounting Clerk II
35,121 / 61,462
1.00 1.00 1.00
1.00
34,000
37,000
Human Resources Director*
1.00 1.00 0.00
0.00
-
-
Human Resources Assistant*
0.00 1.00 0.00
0.00
-
-
6.00 7.00 5.00
6.00
*Positions moved to Human Resources Department in FY23
TOTALSALARIES
$ 380,350 $
450,500
Overtime
100
200
FICA Taxes
29,100
34,479
Deferred Compensation
34,250
40,563
Group Health Insurance Premium
33,950
58,397
Employee Assistance Program
79
105
Worker's Comp Insurance
551
721
Total Personal Services
$ 478,380 $
584,965
129
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE
FINANCE DEPARTMENT
Code: 010020
Amended
Proposed
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Number
Description
Actual
Actual
Actual
Budget
Projected
Budget
PERSONAL SERVICES
511200
Regular Salaries
425276
411,119
464,538
396,329
380,350
450,500
511400
Overtone
0
11
0
200
100
200
512100
FICA Taxes
31,801
31,115
35,207
30,290
29,100
34,479
512225
Deferred Compensation
38,126
36,472
41,308
35,564
34250
40,563
512301
Group Health Insurance Premium
43,776
35,379
38,770
41,268
33,950
58,397
512309
Employee Assistance Program
95
88
94
83
79
105
512400
Worker's Comp Insurance
741
799
710
701
551
721
TOTAL PERSONAL SERVICES
539,816
514,984
580,627
504,435
478,380
584,965
OPERATING EXPENDITURES
533175
Employee Background Testing
13,612
18,899
15,123
0
0
0
533200
Audit Fees
37,750
38,547
36,780
38,940
39,252
52,182
533400
Other Contractual Services
28,610
28,550
46,667
27,750
29,650
31,000
534000
Travel and Per Diem
261
97
0
500
0
500
534105
Cellular Telephone
0
882
532
0
0
0
534110
Internet Access
825
0
0
0
0
0
534120
Postage
2,370
1,723
1,837
1,920
2,145
2,210
534420
Equipment Leases
3,304
3,698
3,640
3,502
3,426
3,440
534630
R & M - Office Equipment
31,874
32,571
34,926
35,900
35,900
38,000
534800
Promotional Activities
50
0
0
0
0
0
534825
Advertising
5,693
5,615
9,467
0
0
0
534920
Legal Ads
1,416
971
1,524
1,750
2,400
2,500
535200
Departmental Supplies
3,404
5,374
3,130
3,550
3,550
4,875
535205
Bank Charges
136
130
55
170
130
130
535210
Computer Supplies
199
673
271
600
600
600
535410
Dues and Memberships
3,424
2,594
2,094
2,530
2,895
2,875
535420
Books and Publications
0
0
88
250
0
250
535450
Training and Education
1,929
998
17
1,500
500
1,000
TOTAL OPERATING EXPENDITURES
134,857
141,322
156,151
118,862
120,448
139,562
CAPITAL OUTLAY
606400
Vehicles and Equipment
0
0
0
0
0
0
TOTAL CAPITAL OUTLAY
0
0
0
0
0
0
TOTAL FINANCE
674,673
656,306
736,778
623,297
598,828
724,527
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'Ii
MANAGEMENT INFORMATION SYSTEMS DEPARTMENT
The Management Information Systems department consists of five (5) full-time and two (2) part-time
staff members. This department is responsible for the purchase, operation, and maintenance of the City's
approved computerized hardware and software infrastructure, and either provides or recommends training
for its use. This department also oversees the live broadcast of most of the City's boards and committee
meetings, 24 hour broadcasting of COSty and creation/maintenance of all City websites and their content.
This department provides support for approximately 200 computers, over 40 printers and copiers, along
with other systems including computerized physical access control systems, the public safety computer
infrastructure, accounting systems, the City's geographic information systems, computerized fuel
monitoring, and ensures all systems that are connected are secured across all city facilities. Additionally,
the MIS department supports hardware and software for Internet/Intranet accounts, provides maintenance
of email systems, oversees the telephone system, and has the responsibility of initializing and maintaining
City issued cellular devices. MIS coordinates with other departments relating to use and configuration of
the records imaging software (Laserfiche) and other departmental records management software systems.
FISCAL YEAR 2023 ACCOMPLISHMENTS
✓ Performed planned upgrades for computers across city facilities
✓ Implemented additional security measures in city parks
✓ Broadcasted major events
✓ Connected the Public Works Compound to the city network and provided infrastructure and
systems to bring it fully online
✓ Upgraded security infrastructure at the airport
✓ Enhanced broadcast capabilities for board and council meetings held in the chambers
✓ Increased network bandwidth across all city facilities
FISCAL YEAR 2024 GOALS AND OBJECTIVES
➢ Continue to enhance and ensure the security of systems in the workplace
➢ Ensure accessibility of all boards and council meetings to the public for viewership and
participation
➢ Improve function, operation, and usability for all departments within the city
➢ Implement new systems to enhance functions and daily operations as needed
➢ Train users on the proper usage and function on systems implemented for their convenience
➢ Provide support and develop digital platforms to help prepare for the Sebastian Centennial
celebration
PERFORMANCE MEASURES
Actual
Actual
Actual
Projected
Projected
Performance Indicators
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
Workorders Processed
2513
2521
2385
2800
2550
Server/Network/Phone Outages Serviced
12
14
12
12
12
Web/COS-TV Workorders Processed
358
482
429
400
550
Programs Aired Live on COS -TV
83
84
81
90
90
User Training hours performed/supported
243
90
135
120
110
ITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'Ij,
MANAGEMENT INFORMATION SERVICES PROGRAM BUDGET DESCRIPTION
STAFFING
22123 23124
NATURE OF ACTIVITY
10.00% 10.00% Network Analvsis, Designand Configuration - This includes the assessment of the citys' current data
needs, as well as projected needs for all software and hardware, and the documentation of all systems.
25.00% 25.00% FndUser Supoort - This includes hardware troubleshooting and repair, as well as, assisting users in the
use of all data resources.
3.00% 3.00% Network Administration - This includes the daily administration of network resources such as
maintaining user accounts, e-mail accounts, data backup etc...
2.00% 2.00% Division Administration - This includes the functions necessary to support the internal administrative
needs of the MIS division's resources and personnel.
2.00% 2.00% Technoloev Research andDevelooment - This is the time necessary to research and evaluate technology
related products and services for purchase and implementation.
25.00% 25.00% Broadcasting/Recording/Content Creation - broadcast board meetings live from council chambers.
Filming for commericals or other productions as directed. Creation of the daily programming schedule.
Creation of all the video files for the Web Archive service. Creation of print advertising/banners as
requested. Creation of COSty slides as needed. Any items needed are requested via work order,
2.00% 2.00% Website Sumort - posting of all agendas & packets, adding the city's events to the events calendar on
the city's main site. Making any additions or changes that are needed for the information on all the city's
websites to stay up-to-date. Any additions or changes are requested via work orders.
10.001/o 10.001/o Maintenance - monitoring and addressing MIS techincal items. These include servers, switches, and
other specialized hardware that is essential to the day to day operations of the MIS division. This
includes the daily administration of network resources such as maintaining user accounts, e-mail
accounts, data backup etc...
20.00% 20.00% Securitv & Training - securing all endpoints and servers against unwanted intrusion. Training of end
users on safe usage of city provided technology. Making sure that systems have all needed patches.
Securing all internet based services against hacking/breaches.
1.00% 1.00/0 Records Management - Maintain the electronic records for the the City of Sebastian. This includes the
public emails and the laserfiche system work with the the City Clerks office to ensure our the city's
electronic record storage is both user/public friendly and secured.
100.00% 100.00%
32
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'II
MANAGEMENT INFORMATION SYSTEMS BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for Management Information
Systems
is $ 676,465, this
compares to the 2022-2023 projected expenditures of
$636,125, an increase of $ 40,340, or 6.341/o.
Amended
Projected
FY19/20
FY20/21
FY21/22
FY22/23
FY22/23
FY23/24
Actual
Actual
Actual
Budget
Expenditures
Budget
Difference
Personal Services $ 345,874 $
347,018 $
371,674 $
447,581 $
411,720 $
461,740
$ 50,020
Operating Expenses 163,865
166,312
171,793
280290
224,405
214,725
(9,680)
Capital Outlay 2,011
-
-
-
-
-
-
Total $ 511,750 $
513,329 $
543,467 $
727,871 $
636,125 $
676,465
$ 40,340
Fiscal Year 2023-2024 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-2023 Projected Expenditures: Difference
1. Personal Services - Increase due to longevity, having positions full all year, negotiated pay increases, and insurance costs. $ 50,020
2. Operating Expenses - Slight decrease due to some software renewals not being due this year. $ (9,680)
3. CapitalOutlay -No change. $
PERSONAL SERVICES SCHEDULE
MANAGEV"T INFORMATION SERVICES
FULLTIlMIEEQUNALFNI'S
Projected
PAY
Amended
Egienditure
Budget
POSITION
RANGE
21/22 22/23 22/23
23/24
22/23
23/24
MIS Manager
70,868 / 124,020
1.00 1.00 1.00
1.00
$ 91,100 $
96,000
MIS Sys terra Administrator
54,485 / 95,348
1.00 1.00 1.00
1.00
60,700
65,500
MIS Technical Analyst
42,690 / 74,708
1.00 1.00 1.00
1.00
67,000
70,500
MIS Technician
38,721 / 67,762
1.00 1.00 1.00
1.00
26,750
41,250
Help Desk Technician/Administrative As st
36,877/65,535
1.00 1.00 1.00
1.00
38,000
40,000
Audio Visual Technician (P/T)
$13.23/hr- $ 23.16/hr
0.50 0.50 0.50
1.00
16,750
41,000
Audio Visual Technical Analyst (PIT)
$16.08/hr- $ 28.14/hr
0.50 0.50 0.50
0.00
12,200
-
6.00 6.00 6.00
6.00
TOTAL SALARIES
$ 312,500 $
354,250
Overtime
5,000
2,000
FICA Taxes
24,135
27,251
Deferred Compensation
25,790
28,535
Croup Health Insurance Premium
43,750
49,047
Employee Assistance Program
71
87
Worker's Comp Insurance
474
570
Total Personal Services
$ 411,720 $
461,740
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL_BUDGEI�
CAPITAL OUTLAY SCHEDULE
MANAGnM%iT INFORMATION S ERVICES - TO BE FUNDED BY DIS CRETIONARY SALES TAX
EXPENDITURES PER FIS CAL YEAR
DESCRIPTION
2023/24
2024/25
2025/26
2026-27
2027-28
TOTAL
VxRail Server/Host Update
$ 43,195
$ 45,355
$ 45,355
$ 45,355
$ 45,355
$ 224,615
Citywide Computers
45,000
35,000
45,000
35,000
45,000
205,000
COSty Equipment
15,000
15,000
15,000
15,000
15,000
75,000
Network Infrastructure
30,000
30,000
30,000
30,000
30,000
150,000
Public Works Compound Firewall
75,000
-
-
-
-
75,000
Core and Remote Switches
60,000
-
-
-
-
60,000
Cyber Security Features
30,000
-
-
-
-
30,000
Security Cameras
30,000
-
-
-
-
30,000
Sidewalk Assurance System
50,000
-
-
-
-
50,000
Total
$ 378,195
$ 125,355
$ 135,355
$ 125,355
$ 135,355
$ 899,615
34
ITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET]
MANAGEMENT INFORMATION SYSTEMS
Code:010021
Amended Proposed
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Number
Description
Actual
Actual
Actual
Budget
Proiected
Budget
PERSONAL SERVICES
511200
Regular Salaries
257,337
261,640
280,617
333,910
312,500
354,250
511400
Overtime
3,805
490
1,285
500
5,000
2,000
512100
FICA Taxes
18,759
19,196
20,498
25,582
24,135
27,251
512225
Deferred Compensation
21,120
21,219
22,017
26,592
25,790
28,535
512301
Group Health Insurance Premium
44,307
43,924
46,713
60,371
43,750
49,047
512309
Employee Assistance Program
63
63
65
79
71
87
512400
Worker's Comp Insurance
483
485
479
547
474
570
TOTAL
PERSONAL SERVICES
345,874
347,018
371,674
447,581
411,720
461,740
OPERATING EXPENDITURES
533120
Consultants
0
0
0
0
0
0
533400
Other Contractual Services
34,685
0
616
0
0
0
534000
Travel and Per Diem
0
0
126
1,200
1,200
1,200
534105
Cellular Phone
2,291
3,711
2,406
2,715
1,120
1,080
534110
Internet Access
23,129
25,245
27,134
49,960
49,960
55,755
534120
Postage
8
0
2
0
25
25
534130
Express Mail
0
74
0
150
400
200
534420
Equipment Leases
178
214
218
215
215
215
534630
R & M - Office Equipment
80,333
98,905
97,182
117,900
117,900
109,000
534640
R& M- Operating Equipment
0
0
0
0
0
0
535200
Departmental Supplies
1,214
684
491
0
400
350
535210
Computer Supplies
9,149
11,592
8,651
7,000
9,000
9,000
535230
Small Tools and Equipment
317
67
616
850
250
200
535410
Dues and Memberships
10,563
22,579
31,321
95,000
40,000
32,000
535420
Books and Publications
0
0
0
100
100
0
535450
Training and Education
1,999
3,240
3,032
5,200
3,835
5,700
TOTAL
OPERATING EXPENDITURES
163,865
166,312
171,793
280,290
224,405
214,725
CAPITAL OUTLAY
606400
Vehicles and Equipment
2,011
0
0
0
0
0
TOTAL CAPITAL OUTLAY
2,011
0
0
0
0
0
TOTAL MANAGEMENT
INFORMATION SYSTEMS DIVISION 511,750 513,329 543,467 727,871
636,125 676,465
CITY OF SE STIAN, FLORIDA 2023/2024 ANNUAL BUDGE'T�
HUMAN RESOURCES DEPARTMENT
The Human Resources Department primarily provides support services to other City departments. The
Human Resources Department was part of Administrative Services until April 1, 2023.
The Human Resources Department is responsible for the life cycle of an employee (i.e., recruiting, hiring,
onboarding, training and termination), retention of employees, and administering employee benefits
(Medical, Dental, Vision, Life Insurance, Employee Assistance Program, etc.). In addition to
implementing and advising on rules and regulations to ensure compliance with employee laws, Human
Resources is responsible for policies and procedures, negotiating collective bargaining agreements,
discipline and grievance handling and employee salary administration. Human Resources is responsible
for service recognition, employee special events, and employee training. Human Resources is responsible
for Safety, Workers' Compensation and the City's liability cases. Last, Human Resources is responsible
for the administration of police pensions.
FISCAL YEAR 2023 ACCOMPLISHMENTS
✓ Recruited for 32 positions, interviewed 223 applicants, processed 22 terminations.
✓ Hired and oriented 24 new employees, promoted 10 employees, made conditional offers to 5
Police Officers/Recruits and 911 Dispatchers.
✓ Initiated the Neogov recruitment software. City applications are now on the City website.
✓ Assisted in negotiating two union contracts with IUPA (police and civilian).
✓ Assisted in negotiating and recommending employee medical, dental, vision, life insurance, long
term disability, and employee assistance benefits.
✓ Assisted in the preparation of biweekly payroll. Managed Employee Family and Medical Leave.
✓ Promoted safety — responsible for workers compensation and communicating information to
Florida League of Cities (6 cases thru 05/18/23).
✓ Served as risk manager for property and liability insurance policies and claims (12 cases claimed
and 18 cases under $ 1,000).
✓ Provided administrative support to the Police Officers Pension Plan.
✓ Completed payroll for FEMA Cat A and B and documentation for 2 hurricanes (Ian and Nicole).
✓ Completed and monitored city liability insurance claims for the 2 hurricanes (Ian and Nicole).
✓ Established Sign -On bonuses for new employees (17 employees received Sign -On bonuses;
established reimbursement program for new Police Recruits).
✓ Added a Human Resources Assistant.
✓ Held an Employee Health Fair and Expo.
✓ Held I job fair and attended a job fair.
✓ Improved internal processes to operate more efficiently.
36
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGEI'�
FISCAL YEAR 2024 GOALS AND OBJECTIVES
➢ Establish an online Employee Handbook, including Human Resources Policies and procedures.
➢ Recruit and promote the most qualified candidates, recognizing the value of diversity and equal
employment; i.e. Neogov, Indeed, Social Media, associations, etc. and attend job fairs.
➢ Initiate an online Performance Review process and form.
➢ Continue to provide up-to-date information regarding employee benefits.
➢ Assist in the preparation of biweekly payroll. Manage Employee Family and Medical Leave.
➢ Promote a safe and healthy workplace, reflecting commitment to fairness and equality.
➢ Re-establish the Safety Committee; administer workers compensation and communicate
information to Florida League.
➢ Perform the duties of risk manager for property and liability insurance policies and claims.
➢ Provide administrative support to the Police Officers Pension Plan.
➢ Hold and Employee Health Fair and Expo.
➢ Improve internal processes to operate more efficiently.
➢ Provide low cost quality training (in-house and on-line) for City employees.
➢ Continue staff training in human resources, workers compensation, risk management, and
emergency management.
➢ Continue to provide responsive service to all customers, citizens, vendors, and employees.
➢ Continue administration of Sustainable Sebastian projects and outreach
PERFORMANCE MEASURES
Actual Actual Actual Projected Projected
Performance Indicators 2019/2020 2020/2021 2021/2022 2022/2023 2023/2024
Total Full and Part-time Positions 180 179 185 193 199
Terminations/Resignations/Retirements 33 35 31 30 30
HR hours to process new employee 2 2 2 2 2
�Apphcations processed 109 134 232 150 250
f New Hires 22 35 18 35 35
113ackground Checks conducted - non -sworn 18 13 14 25 25
Reported Workers Compensation Claims 11 9 14 10 10
Time frame to hire new employee - non -sworn 30 days 90 days 60 dams 60 days 60 days
Time frame to hire new employee - sworn 2 months 3+ months 3+ months 2 months 3+ months
Promotions 8 10 10
(Transfers 1 2 2
37
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET]
HUMAN RESOURCES PROGRAM BUDGET
STAFFING
22123 23124 NATURE OFACTIVITY
Payroll Enter hew hire payroll information into ADP including benefits enrollments. Review timecards to insure they
15.00% 15.00% are completed correctly. Monitor and maintain records for FMIA amd Workers Compensation payments. Prepare
quarterly reports to the workers compensation insurance cagier.
I3rring New Employees - Post positions, accept applications, screen applications for minimum qualifications, prepare
employment and rejection letters, prepare new hire packages, schedule pre -employment physicals and drug screens,
25.00% 20.00% conduct new hire orientations, conduct employment and background investigations, coordinate with departments
regarding examinations for skilled positions. Interview applicants as part of panel.
Customer Service - Respond to customer inquiries both in person and on the phone. Provide support to other
2.50% 2.50% employees and departments as needed.
o ee Supuort - Provide protection to both City and employees by following federal and state laws/regulations,
Manage employee relations and identify labor costs. Mediate and resolve disputes between management and
employees. Maintain, update, and implement City Human Resources policies and procedures. Develop and coordinate
20.00% 22.50% employee training. Review and revise job descriptions and pay scales. Maintain all employee files. Provide
administrative support to the Police Pension Plan,
In -Service Actions - Process employee action notices for activity - promotions, demotions and transfers. Maintain
10.00% 10.00% personnel and subject files. Update salary schedules and compensation plans. Administer employee evaluation
program
Effeedw Insurance Plans - Develop and maintain a comprehensive, innovative and effectively managed insurance
10.00% 10.00% benefits plan for all employees and dependents. Provide clear prevention opportunities and participation options for
employees and dependents.
Risk Mana<_ement- Ensure that liability insurance claims are promptly submitted to the insurance carrier. Resolve minoi-
claims that are lower than deductible limits in a fair and consistent manner. Insure Workers Compensation claims are
10.00% 15.00% submitted to carrier. Maintain correspondence with insurance tamer for all liability and workers compensation claims
from inception to completion or return to work Negotiate carrier benefits and rates. Coordinate all safety training.
Union Ne,- otiations. Contract Administration - Negotiate labor agreements with police, civilian, and supervisory unions
and any Memos of Understanding necessary during the life of existing contracts. Perform support research, document
5.00% 2.50% preparation and record minutes. Review, rewrite and organize Rules and Regulations.
Records Mana,-,ement - Records storage, disposition, and destruction. Insure annual compliance. Complete
2.50% 2.50% transmittals, box labels, records disposition and destruction forms, and update master log.
100.000/0 100.000/0
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'I�
HUMAN RESOURCES BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for Human Resources is $ 317,455. This compares to the 2022-2023 projected expenditures of $ 222,052, ; a;
increase of $ 95,403, or 42.96% .
Amended
Projected
FY 19/20 FY 20/21 FY 21/22
FY 22/23
FY 22/23
FY 2324
Actual Actual Actual
Budget
Expenditures
Budget
Difference
PersonalServices $ - $ - $ - $
174,271 $
173,575 $
204,330
$ 30,755
Operating Expenses -
57,543
48,477
113,125
64,648
Capital Outlay -
-
-
-
-
Total $ $ $ $
231,814 $
222,052 $
317,455
$ 95,403'
Fiscal Year 2023-24 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-23 Projected Expenditures:
Difference
1. Personal Services - Increase due to positions being full all year, longevity, negotiated pay increases,
and insurance costs.
$ 30,755
2. Operating Expenses - Increase due to Neogov software contracts and increased employee training.
$ 64,648
3. Capital Outlay - No change.
$ -
PERSONAL SERVICES SCHEDULE
HUMAN RESOURCES DEPARTMENT
FULL TIM EQUIVALENTS
Projected
PAY
Amended
Expenditure
Budget
POSITION RANGE
21/22 22/23 22/23 23/24
22/23
23/24
Human Resources Director* 84,405 / 147,710
0.00 0.00 1.00 1.W
101,500
108,750
Human Resources Assistant* 47,066 / 82,365
0.00 0.00 1.00 1.00
35,500
51,000
0.00 0.00 2.00 2.00
*Positions moved fromAdministrative Services in FY23 TOTAL SALARIES
$ 137,000
$ 159,750
Overtime
-
-
FICA Taxes
10,480
12,221
Deferred Compensation
12,350
14,379
Group Health Insurance Premium
13,555
17,689
Employee Assistance Program
28
35
Worker's Comp Insurance
162
256
Total Personal Services
$ 173,575
$ 204,330
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
HUMAN RESOURCES DEPARTMENT
Code: 010035
Amended
Proposed
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Number Description
Actual
Actual
Actual
Budget
Projected
Budget
PERSONAL SERVICES
511200 Regular Salaries
0
0
0
137,520
137,000
159,750
511400 Overtime
0
0
0
0
0
0
512100 FICA Taxes
0
0
0
10,565
10,480
12,221
512225 Deferred Compensation
0
0
0
12,432
12,350
14,379
512301 Group Health Insurance Premium
0
0
0
13,555
13,555
17,689
512309 Employee Assistance Program
0
0
0
28
28
35
512400 Worker's Comp Insurance
0
0
0
171
162
256
TOTAL PERSONAL SERVICES
0
0
0
174,271
173,575
204,330
OPERATING EXPENDITURES
533100 Professional Services
0
0
0
1,050
0
0
I533175 Employee Background Testing
0
0
0
24,175
22,000
22,000
533400 Other Contractual Services
0
0
0
5,800
4200
60,970
534000 Travel and Per Diem
0
0
0
500
500
500
534120 Postage
0
0
0
250
100
100
534420 Equipment Leases
0
0
0
198
198
1260
534630 R & M - Office Equipment
0
0
0
1,500
1,500
4,800
534700 Printing and Binding
0
0
0
500
250
250
534800 Promotional Activities
0
0
0
5,000
2,000
2,000
534825 Advertising
0
0
0
9,100
7,500
7,100
535200 Departmental Supplies
0
0
0
3,500
5,000
4,000
535210 Computer Supplies
0
0
0
1,250
1,250
250
535410 Dues and Memberships
0
0
0
570
229
245
535420 Books and Publications
0
0
0
0
0
250
535450 Training and Education
0
0
0
3,750
3,750
9,000
TOTAL OPERATING EXPENDITURES
0
0
0
57,543
48,477
113,125
CAPITAL OUTLAY
606400 Vehicles and Equipment
0
0
0
0
0
0
TOTAL CAPITAL OUTLAY
0
0
0
0
0
0
TOTAL ADMINISTRATIVE SERVICES
0
0
0
231,814
222,052
317,455
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'11
POLICE DEPARTMENT
CONSOLIDATED BUDGET FOR ALL DIVISIONS AND UNITS
The Fiscal Year 2023-2024 proposed budget for the Police Department as a whole is $ 7,910,140. This compares to the 2022-2023 projected
expenditures of $ 6,764,333, an increase of $1,145,807, or 16.9%.
Amended
Projected
FY 19/20 FY 20/21 FY 21/22
FY 22/23
FY 2V23
FY 23/24
Actual Actual Actual
Budget
Expenditures
Budget
Difference
Personal Services $ 5,716,160 $ 5,740,985 $ 6,028,359
$ 6,521,852
$ 6,019,610
$ 7,151,325
$
1,131,715
Operating Expenses 553,232 571,530 587,783
681,254
662,041
718,055
56,014
Capital Outlay 146,560 42,177 45,273
90,550
82,682
40,760
(41,922)
Total $ 6,415,952 $_ 6,354,693 $ 6,661,415
$ 7,293,656
$ 6,764,333
$_ 7,910,140
$
_ 1,145,807
Fiscal Year 2023-24 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-23 Projected Expenditures:
Difference
1. Personal Services - Increase due to new positions, having positions full all year,
negotiated pay increases, and insurance costs.
$
1,131,715
2. Operating lgpenses - Increase due primarily to replacing duty weapons, sergeants
exam costs,
and utility cost increases.
$
56,014
3. Cab tal Outlay - Decrease due to no large equipment purchases being requested this year.
$
(41,922)
Inve
Sebastian Police Department Cost Allocation
Code
Enforcement Police
- istration
2%
lice Operations
55%
`I!
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
CONSOLIDATED POLICE DEPARTMENT
FY19/20 FY20/21 FY21/22 FY22/23 FY22/23 FY23/24
Actual Actual Actual Budge Proiected Budge
POLICE ADMINISTRATION
PERSONAL SERVICES $ 1,064,435 $ 895,521 $ 967,223 $ 761,310 $ 722,605 $ 830,225
OPERATING EXPENDITURES 160,747 125,109 101,079 113,770 111,465 133,065
CAPITAL OUTLAY 38,694 - 9,125 - - -
TOTAL $ 1,263,875 $ 1,020,630 $ 1,077,427 $ 875,080 $ 834,070 $ 963,290
POLICE OPERATIONS
PERSONAL SERVICES
$ 3,029,232
$ 3,153,248
$ 3,295,521 $
3,674,360
$ 3,473,890
$ 3,972,645
OPERATING EXPENDITURES
245,672
275,264
319,925
371,259
365,695
380,370
CAPITAL OUTLAY
33,487
32,677
32,555
77,550
71,000
29,260
TOTAL
$ 3,308,391
$ 3,461,189
$ 3,648,001 $
4,123,169
$ 3,910,585
S 4,382,275
POLICE INVESTIGATIONS
PERSONAL SERVICES $ 878,785 $
954,685 $
1,017,583 $
1,170,620 $
1,041,930
$ 1,315,280
OPERATING EXPENDITURES 123,458
143,558
140,023
158,440
157,980
168,325
CAPITAL OUTLAY 74,379
9,500
3,593
13,000
11,682
11,500
TOTAL $ 1,076,622 $
1,107,742 $
1,161,198 $
1,342,060 $
1,211,592
$ 1,495,105
POLICE DISPATCH
PERSONAL SERVICES
$
573,959
$
566,550
$
587,522
$
733,785
$
652,710
$
840,150
OPERATING EXPENDITURES
8,886
10,955
9,145
16,995
11,236
16,090
CAPITAL OUTLAY
-
-
-
-
-
-
TOTAL
$
582,845
$
577,505
$
596,667
$
750,780
$
663,946
$
856,240
POLICE CODE ENFORCEMENT
PERSONAL SERVICES
$
169,750
$
170,981
$
160,510
$
181,777
$
128,475
$
193,025
OPERATING EXPENDITURES
14,469
16,645
17,611
20,790
15,665
20,205
CAPITAL OUTLAY
-
-
-
-
-
-
TOTAL
$
184,219
$
187,626
$
178,121
$
202,567
$
144,140
$
213,230
TOTALS
PERSONAL SERVICES
$
5,716,160
$
5,740,985
$
6,028,359
$
6,521,852
$
6,019,610
$
7,151,325
OPERATING EXPENDITURES
553,232
571,530
587,783
681,254
662,041
718,055
CAPITAL OUTLAY
146,560
42,177
45,273
90,550
82,682
40,760
TOTAL
$
6,415,952
$
6,354,693
$
6,661,415
$
7,293,656
$
6,764,333
$
7,910,140
qZ
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
POLICE ADMINISTRATION
The Police Administrative Division includes the office of the Chief, Professional Standards, Training, Accreditation,
Alarm Administration, and Police Volunteers. This division coordinates the efforts of the division commanders,
oversees the budget, conducts internal investigations and background investigations for new employees, and is
responsible for strategic planning.
FISCAL YEAR 2023 ACCOMPLISHMENTS
✓ Continued to provide a safe environment to live and work for residents, visitors, and commuters.
✓ Continued to develop partnerships with our community through training, social media, and professional
interactions.
✓ Continued to research and utilize available funding resources to benefit the agency and our community as a
whole.
✓ Continued staff development through leadership and mentoring programs both internal and external.
✓ Completed third year requirements of reaccreditation status with Commission for Florida Accreditation as
an Excelsior agency.
FISCAL YEAR 2024 GOALS AND OBJECTIVES
➢ Continue to provide a safe environment to live and work for residents, visitors, and commuters.
➢ Continue to develop partnerships with our community through training, social media, and professional
interactions.
➢ Continue to research and utilize available funding resources to benefit the agency and our community as a
whole.
➢ Continue staff development through leadership and mentoring programs both internal and external.
➢ Roll back to first year requirements of reaccreditation status with Commission for Florida Accreditation as
an Excelsior agency.
➢ Work to fill vacancies and maintain staffing allocations.
➢ Develop and provide promotional test to fill leadership vacancies created by retirements.
q-3
Efi CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDG
PERFORMANCE MEASURES
Actual
Actual
Actual
Projected
Projected
Performance Indicators
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
Civic meetings attended
145
80
36
145
145
Policies reviewed
125
80
125
125
125
Unit staff meetings attended
12
12
12
12
12
Senior staff meetings attended
40
36
36
36
36
Staff inspections performed
4
4
4
4
4
Computerized statistical reviews
12
12
12
12
12
Crime Prevention Information needs
25
35
35
40
40
Youth & Bike Safety Events
0
0
0
3
0
Community Events
10
10
12
50
40
Background Investigations
16
29
15
50
50
Training Assistance
8
15
5
20
20
Internal Investigations
1
4
3
6
2
Conduct 40 firs of training for officers
43
43
46
43
46
Conduct training for civilian employees
36
40
15
50
15
Recruiting and promotional Activities
0
2
1
12
10
Number of citations processed
958
795
952
900
950
Number of warnings processed
1392
1652
2059
1800
2000
Number of reports processed
2169
2165
1995
2400
2200
Number of parking citations processed
44
17
25
40
30
Number of trespass warnings processed
205
212
160
250
200
Statistical reports completed
30
50
12
50
4
POLICE ADMINISTRATION PROGRAM BUDGET DESCRIPTION
STAFFING NATURE OF ACTIVITY
22123 23124
36.00% 36.00% General Management - Direct department, develop and expand citizen involvement and public
education. Meet with civic groups, media, and other public and private groups. General administrative
duties managing the department.
2.00% 2.00% Professional Standards - Oversee all internal affairs investigations and conduct two staff inspections
during the year. Oversee all background investigations. Insure that accreditation standards are
followed and documented.
1.00% 1.00% Staff Insnections
33.00% 33.00% Records Management - Processing, distributing and entering incident reports, citations, warnings,
parking tickets, trespass warnings, and otherrelated records management forthe Divisions of the Police
Department.
23.00% 23.00% Citizen Reauests - Respond to citizen and agency requests for incident reports, accident reports, and
local checks by fax, mail or phone. Providing officers with information when requested, signing for,
processing and entering subpoenas. Providing records information to citizens in person orby phone.
4.00% 4.00% Renorting - Provide FDLE with UCR reports, update UCR, prepare and provide statistics, update pin
map.
1.00% 1.00% Administrative - Mail correspondence to housewatch participants and to program donors, collect copy
fees, signoff citation fees and alarm fees.
1 100.00% 100.00%
by
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
POLICE ADMINISTRATION BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for Police Administration is $ 963,290. This compares to the 2022-2023 projected expenditures of $ 834,070
(excluding State Pension funds), an increase of $129,220, or 15.5%.
Amended
Projected
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23124
Actual
Actual
Actual
Budget
Expenditures
Budget
Difference
Personal Services
$ 1,064,435
$ 895,521
$ 967,223
$ 761,310
$ 722,605
$ 830,225
$ 107,620
Operating Expenses
160,747
125,109
101,079
113,770
111,465
133,065
21,600
Capital Outlay
38,694
-
9,125
-
-
-
Total
$ 1,263,875
$ 1,020,630
$ 1,077,427
$ 875,080
$ 834,070
$ 963,290
$ 129,220
Fiscal Year 2023-24 Proposed Budget
Major Current Level Changes from Fiscal Year 2022-2023 Projected Expenditures: Difference
1. Personal Services - Increase due to having positions full all year, a reclass, negotiated pay increases, and insurance costs. $ 107,620
2. Operating Expenses - Increase due primarily to sergeants exam costs and utility cost increases. $ 21,600
3. Capital Outlay -No change. $ -
(CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE
PERSONAL SERVICES SCHEDULE
POLICE ADNDNIS TRATION
FULL TUVIE EQUIVALENTS
Projected
PAY
Amended
Expenditure
Budget
POSITION
RANGE
21/22 22/23
22/23
23/24
22/23
23/24
Chief of Police
100,528 / 175,924
1.00 1.00
1.00
1.00
$ 134,000
$ 141,750
Deputy Chief of Police
79,628 / 139,349
1.00 1.00
1.00
1.00
121,000
127,000
Captain
73,610 / 129,076
1.00 1.00
1.00
1.00
93,750
98,250
Executive Assistant
44,825 / 78,443
0.00 1.00
1.00
1.00
55,750
58,250
Accreditation/Records Supervisor
42,690 / 74,708
1.00 1.00
1.00
1.00
45,000
46,500
Records Specialist II
36,877 / 64535
1.00 1.00
1.00
1.00
40,500
43,250
Records Specialist I
33,449 / 58,535
1.00 1.00
1.00
1.00
-
35,250
Quartermaster P/I'
$ 18.62/hr - $ 32.58/hr
0.00 0.00
0.00
0.50
-
24,250
Logistics Specialist P/I'
$ 13.89/hr - $ 24.31/hr
0.50 0.50
0.50
0.00
15,000
-
Crime Analyst *
42,690 / 74,708
1.00 0.00
0.00
0.00
-
Administrative Assistant
33,449 / 58,535
1.00 0.00
0.00
0.00
-
-
8.50 7.50
7.50
7.50
TO TAIL S Arc
$ 505,000
$ 574,500
* Position moved to Investigations Division in FY23
Overtime
1,200
1,000
FICA Taxes
38,724
44,087
Clothing Allowance
765
810
Deferred Compensation
12,750
16,583
Chapter 185 Pension
83,671
84,043
Group Health Insurance Premium
69,500
96,415
Employee Assistance Program
95
122
Worker's Comp Insurance
10,900
12,665
Total Personal Services
$ 722,605
$ 830,225
CAPITAL OUTLAY SCHEDULE
POLICEADNIINISTRATION DIVISION -TO BEFUNDED BYGRANTS
EXPENDITURES PER FISCAL YEAR
Description 2023/24 2024/25 2025/26 2026/27 2027/28 TOTAL
Indoor Firearms Range $ 5,000,000 $ - $ - $ - $ - $ 5,000,000
$ 5,000,000 $ - $ - $ - $ - $ 5,000,000
'6
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGEI1
POLICE ADMINISTRATION
Code: 010041
Amended
Proposed
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Number
Description
Actual
Actual
Actual
Budget
Projected
Budget
PERSONAL
SERVICES
511200
Regular Salaries
615,613
486,059
523,792
528,748
505,000
574,500
511400
Overtime
1,155
52
3,111
1,000
1,200
1,000
512100
FICA Taxes
44,116
36,340
39,586
40,649
38,724
44,087
512215
Clothing Allowance
1,440
1,553
1,620
1,620
765
810
512225
Deferred Compensation
14,186
13,690
14,439
14,905
12,750
16,583
512250
Chapter 185 Retirement
111,794
79,344
84,794
85,969
83,671
84,043
512251
Chapter 185 State Shared Revenue
208,645
206,017
227,003
0
0
0
512301
Group Health Insurance Premium
51,269
58,658
61,601
75,560
69,500
96,415
512309
Employee Assistance Program
102
104
107
111
95
122
512400
Worker's Comp Insurance
16,115
13,704
11,181
12,748
10,900
12,665
TOTAL PERSONAL SERVICES
1,064,435
895,521
967,223
761,310
722,605
830,225
OPERATING EXPENDITURES
533100
Professional Services
3,856
1,200
650
5,000
5,000
10,650
533400
Other Contractual Services
25
25
25
25
25
25
533500
Investigations
271
0
0
1,000
0
1,000
534000
Travel and Per Diem
1,610
3,123
3,741
6,000
4,000
6,000
534101
Telephone
5,795
9,328
4,010
0
0
0
534105
Cellular Telephone
1,649
1,614
1,386
1,045
1,350
1,620
534110
Internet Services
911
786
1,325
1,395
1,005
960
534120
Postage
1,400
668
932
1,500
975
1,500
534310
Electric
29,104
29,399
34,660
37,200
42,710
44,000
534320
Water/Sewer
2,942
3,058
3,307
3,300
3,960
4,380
534420
Equipment Leases
3,581
3,824
3,777
3,830
3,765
3,765
534500
Insurance
7,090
0
6,387
0
0
7,025
534610
R&M -Buildings
10,031
8,124
220
5,000
5,000
2,500
534620
R&M -Vehicles
1,073
1,188
728
750
750
800
534630
R& M - Office Equipment
48,578
44,343
18,651
18,335
18,335
21,645
534640
R & M-Operating Equipment
30
0
280
1,000
0
0
534650
R& M-Radio
0
0
0
100
0
100
534800
Promotional Activities
842
1,000
714
1,000
800
1,000
534820
Designated Expenditure (Greer Donation)
25,268
0
(1,625)
0
0
0
535200
Departmental Supplies
6,118
7,048
8,155
8,000
6,000
7,000
535210
Computer Supplies
877
294
459
800
300
500
535230
Small Tools and Equipment
0
890
0
1,000
600
1,600
535260
Gas and Oil
2,979
3,412
4,765
5,000
5,000
5,000
535270
Uniforms and Shoes
844
876
1,267
1,500
1,000
1,500
535275
Safety Equipment
0
0
0
100
0
0
535410
Dues and Memberships
3,138
2,395
3,371
3,890
3,890
3,495
535420
Books and Publications
0
0
243
1,000
1,000
1,000
535450
Training and Education
2,732
2,524
3,649
6,000
6,000
6,000
TOTAL OPERATING EXPENDITURES
160,747
125,109
101,079
113,770
111,465
133,065
CAPITAL OUTLAY
606300
IOTB
0
0
7,500
0
0
0
606400
Vehicles and Equipment
19,694
0
0
0
0
0
606405
Vehicles and Equipment (Designated Funds)
19,000
0
1,625
0
0
0
TOTAL CAPITAL OUTLAY
38,694
0
9,125
0
0
0
TOTAL POLICE ADMINISTRATION
1,263,875 1,020,630 1,077,427
875,080 834,070 963,290
q 7
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGED
POLICE OPERATIONS DIVISION
The Operations Division is the most visible component of the police department and is tasked with 24hour/7 day
service. Personnel assigned to this division are responsible for, but not limited to, enforcing traffic and boating
laws, conducting preliminary criminal investigations, arresting or citing violators, gathering intelligence, answering
calls for service and patrolling the city limits. The Operations Division is comprised of four squads of 6 sworn
personnel including four K-9 units and one full-time traffic officer. Several officers also provide extra duty services
such as the SRT (Special Response Team). The SRT is responsible for serving high risk warrants, handling
barricaded subjects, or any other special incidents requiring highly trained and equipped personnel.
FISCAL YEAR 2023 ACCOMPLISHMENTS
✓ Provided a high level of customer service to the citizens while dealing with staffing shortages.
✓ Maintained a positive relationship with the community through the COPE initiative.
✓ Continued to focus on mentoring, in-house leadership, and succession planning.
✓ Hired eight new police officers and put them through the Field Training and Evaluation Program.
FISCAL YEAR 2024 GOALS AND OBJECTIVES
➢ Increase shift personnel to target traffic complaints throughout the city and deter traffic violations.
➢ Provide a high level of customer service to the citizens.
➢ Continue to maintain a positive relationship with the community through the COPE initiative.
➢ Continue to develop leadership, mentoring, and succession planning through in-house and other educational
resources.
➢ Increase natural resource patrols and safety checks along our waterways and preserve areas.
PERFORMANCE MEASURES
11'erformance Indicators
Calls for Service
Officer Initiated Activity
Traffic Stops
I Written Warnings Traffic Stops
(Citations (Traffic Stops)
Traffic Enforcement
Parking Enforcement
JAlarms
Adult Arrests
Juvenile Arrests
Buckle up and DUI enforcement waves
Traffic Enforcement Initiatives
K-9 usage reports
K-9 searches
Marine and Natural Resource Citizen Contacts
Actual
2019/2020
27,229
17,342
3,305
2,005
2,589
32
592
359
21
1
Actual
2020/2021
21,089
11,670
2,775
1,572
758
1,459
17
548
325
23
1
Actual
2021/2022
18,978
9,762
3,200
2,014
945
655
24
386
243
26
1
Projected
2022/2023
35,000
15,000
4,000
3,000
1,000
2,500
50
575
350
25
4
29
32
51
35
78
44
80
40
72
100
Projected
2023/2024
20,000
15,000
3,500
2,500
1,100
2,000
30
400
300
30
10
30
60
50
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGED
POLICE OPERATIONS DIVISION PROGRAM BUDGET DESCRIPTION
STAFFING NATURE OF ACTIVITY
22123 23124
40.001/o 40.00% Calls for Service - respond to calls for service.
f 18.001/o 18.001/o Traffic Stops and Citations - Conduct traffic stops and issue citations and warnings.
+� 15.00% 15.00% Invesdeations - Conduct vehicle crash investigations.
2.00% 2.001/o Criminal Transportation - Transport arrested adults and juveniles to respective detention facilities.
4.00% 4.001/o Traininz and Professional Develomnent - Provide a minimum of 40 hours of training to all members of the division.
12.00% 12.001/o Patrol and Crime Prevention - Maintain patrol logs and direct patrols to reduce opportunistic crimes. Monitor traffic
to direct traffic enforcement strategies. Plan and participate in task force operations.
4.00% 4.00% K 9 Unit - Responsible for directed patrol and request for officer assists.
1 4.00% 4.001/o, Motorcvcle/Traffic Unit - Criminal and non -criminal traffic law enforcement and accident investigations
1.000/0 1.00% Marine Unit - Patrol waterways, enforce marine laws and perform water rescues.
I
100.00% 100.00%
POLICE OPERATIONS DIVISION BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for Police Operations Division is $4,382275. This compares to the 2022-2023 projected expenditures o:
$3,910,585, an increase of $ 471,690, or 12.06%.
Amended
Projected
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
Actual
Actual
Actual
Budget
Expenditures
Personal Services
$ 3,029,232
$ 3,153,248
$ 3,295,521
$ 3,674,360
$ 3,473,890 $
Operating Expenses
245,672
275,264
319,925
371,259
365,695
Capital Outlay
33,487
32,677
32,555
77,550
71,000
Total
$ 3,308,391
$ 3,461,189
$ 3,648,001
$ 4,123,169
$ 3,910,585 $
FY23/24
Budget
Difference
3,972,645
$ 498,755
380,370
14,675
29,260
(41,740)
4,382,275
$ 471,690
Fiscal Year 2023-24 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-23 Projected Expenditures:
1. Personal Services - Increase due to two new officers, having positions full all year, negotiated pay increases, and insurance costs.
2. Operating Expenses - Increase due primarily to replacing duty weapons and new plate reader cameras.
3. Capital Outlay- Decrease due to no large equipment purchases being requested this year.
Difference
$ 498,755
$ 14,675
$ (41,740)
L
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
PERSONAL SERVICES SCHEDULE
POLICEOPERATIONS DIVISION
FULL TM EEQUIVVALENTS
Projected
PAY
Amended
Expenditure
Budget
POSITION RANGE
21/22 22/23 22/23 23/24
22/23
23/24
Lieutenant 54,009/112,240
1.00 1.00 1.00 1.00
$ 88,175 $
93,750
Sergeant 55,660/97,600
5.00 5.00 5.00 5.00
420,000
424,200
Officer 46,000 / 80,661
26.00 29.00 29.00 31.00
1,560,000
1,828,600
Crossing Guards (Temp) $ 12.60/hr - $ 22.53/hr
5.00 5.00 5.00 5.00
45,000
49,000
37.00 40.00 40.00 42.00
TOTAL SALARIES
$ 2,113,175 S
2,395,550
Overtime
240,000
240,000
FICA Taxes
180,600
202,383
Clothing Allowance
7,700
9,990
Chapter 185 Retirement
522,922
592,320
Gaup Health Insurance Premium
340,000
443,076
Employee Assistance Program
493
645
Worker's Comp Insurance
69,000
88,681
Total Personal Services
$ 3,473,890 $
3,972,645
CAPITAL OUTLAY S CB EDULE
POLICE OPERATIONS DIVISION -TO BEFUNDED BY GENERALFUND
EXPENDITURES PER FISCAL YEAR
Description
2023/24
2024/25 2025126 2026/27
2027/28 TOTAL
LIDAR Units (2)
$ 5,300
$ 5,500 $ $ S
S 10,800
Night Vision Rifle Scope
8,000
-
8,000
(4) Rapid ID Devices
7,460
-
- 7,460
(5) Tasers
8,500
8,500 8,500 8,500
8,500 42,500
(2) Night Vision Goggles
-
6,000 - -
- 6,000
(4) SRT Helmets
-
4,800
4,800
Ballistic Shields (10)
-
10,000 - -
- 10,000
$ 29,260
$ 34,800 $ 8,500 $ 8,500 $
8,500 $ 89,560
POLICE OPERATIONS DIVISION - TO BE FUNDED BY DISCRETIONARY SALES TAX
EXPENDITURES PER FISCAL YEAR
Description
2023/24
2024/25
2025/26
2026/27
2027/28
TOTAL
Police vehiclesw/equipment
$ 620,431
$ 485,383
$ 373,152
$ 391,809 $
411,400
$ 2,282,175
Vehicle/Body Cameras
88,776
88,776
93,776
93,776
93,776
458,880
CAD/RMS System Update
60,775
60,775
60,775
60,775
60,775
303,875
$ 769,982
$ 634,934
$ 527,703
$ 546,360 $
565,951
$ 3,044,930
SO
ST B F S TYEAIAN FLORIDA 2023/2024
10- �._...-- - -- ANNUAL BUDGE'I�
POLICE OPERATIONS
Code:010043
Amended Proposed
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Number
Description
Actual
Actual
Actual
Budget
Projected
Budget
PERSONAL
SERVICES
511200
Regular Salaries
1,795,423
1,865,232
1,865,191
2,135,703
2,068,175
2,346550
511300
Temporary Salaries
0
0
44,913
48,250
45,000
49,000
511400
Overtime
219,771
246,006
284,578
252,450
240,000
240,000
512100
FICA Taxes
151,133
157,006
162,194
187,910
180,600
202,383
512215
Clothing Allowance
17,653
16,248
15,701
18,9W
7,700
9,990
512250
Chapter 185 Retirement
469,703
485,370
534,585
523,499
522,922
592,320
512301
Group Health Insurance Premium
312,622
312,778
320,043
421,279
340,000
443,076
512309
Employee Assistance Program
500
484
465
554
493
645
512400
Worker's Comp Insurance
62,427
70,124
67,852
85,815
69,000
88,681
TOTAL PERSONAL SERVICES
3,029,232
3,153,248
3,295,521
3,674,360
3,473,890
3,972,645
OPERATING EXPENDITURES
533500
Investigations
(293)
0
0
0
0
0
534000
Travel and Per Diem
2,958
6,521
8,064
8,000
8,000
8,000
534105
Cellular Telephone
6,704
6,510
6,294
6,600
6,575
7200
534110
Internet Access
14,266
14,974
14,657
16,680
15,975
15,840
534120
Postage
83
0
47
50
50
50
534130
Express Mail Charges
368
282
141
200
200
200
534420
Equipment Leases
837
760
744
770
740
740
534620
R & M -Vehicles
48,819
54,777
46,674
50,000
50,000
50,000
534630
R & M - Office Equipment
1,248
9,577
8,692
8,500
8,500
7,380
534640
R & M-Operating Equipment
7,177
5,918
11,500
6,500
4,500
4,500
534650
R & M-Radio
1,379
570
600
1,000
1,000
1,000
534800
Promotional Activities
500
499
500
1,000
1,000
1,000
534810
K-9 Expenditures
4,729
5,790
4,449
5,000
5,000
5,000
535200
Departmental Supplies
31,022
33,943
35,380
52,380
52,380
68,865
535210
Computer Supplies
94
300
669
300
300
1,500
535230
Small Tools and Equipment
25,718
13,274
3,063
4,000
4,000
25,140
535260
Gras and Oil
75,029
82,278
129,004
110,000
110,000
110,000
535270
Uniforms and Shoes
19,051
23,045
31,716
58,729
56,000
28,700
535275
Safety Equipment
604
4,134
4,276
6,350
6,350
6,000
535410
Dues and Memberships
615
1,070
1,596
1,650
1,575
19,155
535420
Books and Publications
314
2,429
659
1,000
1,000
1,000
535450
Training and Education
4,448
8,613
11,201
19,100
19,100
19,100
535451
Recruitment Reimbursements
0
0
0
13,450
13,450
0
TOTAL
OPERATING EXPENDITURES
245,672
275,264
319,925
371,259
365,695
380,370
CAPITAL
OUTLAY
606400
Vehicles and Equipment
33,487
32,677
32,555
77,550
71,000
29,260
TOTAL
CAPITAL OUTLAY
33,487
32,677
32,555
77,550
71,000
29,260
TOTAL
POLICE OPERATIONS DIVISION
3,308,391
3,461,189
3,648,001
4,123,169
3,910,585
4,382,275
S/
FcT!y OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUM. ,DGET
POLICE INVESTIGATIONS DIVISION
The investigators assigned to this division work on cases involving crimes against persons, crimes against property,
and general investigations, including narcotic and vice investigations. The Evidence Technician is the custodian of
the evidence/property room and processes crime scenes for evidence. A primary focus of this Division is to nurture
cooperation with other law enforcement agencies and to foster community involvement and promote awareness
events. The Crime Analyst provides intelligence support internally and externally for the law enforcement
community.
FISCAL YEAR 2023 ACCOMPLISHMENTS
✓ Added new equipment to assist with various types of investigations.
✓ Continued to utilize resources to assist investigations in solving and preventing crimes.
✓ Provided professional investigative services to victims of crimes.
✓ Provided continual training in order to maintain certifications and enhance experience levels.
FISCAL YEAR 2024 GOALS AND OBJECTIVES
➢ Expand the Investigations Unit by 1-2 positions to better serve the needs of the community and more
effectively investigate crime.
➢ Continue to add new equipment to assist investigators with the increasing amount of cybercrime and
evidence collection from technology based devices.
➢ Provide professional investigative services to the victims of crime.
➢ Provide continual training in order to maintain certifications and enhance experience levels.
➢ Purge Property and evidence in accordance with state laws.
PERFORMANCE MEASURES
Actual
Actual
Actual
Projected
Projected
Performance Indicators
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
(Burglary Investigations
88
90
75
90
85
(Assault Investigations
194
203
123
195
150
' Sexual A s s ault Inves tigations
12
18
15
15
15
Vehicle Theft Investigation
40
24
7
30
20
Robbery Investigations
3
6
2
5
5
i larceny Investigations
267
194
155
250
200
Murder/Attempted Murder Investigations
0
1
1
0
1
�2
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'I'i
POLICE INVESTIGATIONS DIVISION PROGRAM BUDGET DESCRIPTION
STAFFING NATURE OF ACTIVITY
22123 23124
1 50.00% 50.00% Investigations - Investigate reported criminal offenses, complete reports on same, conduct interviews,
review and assist in the prosecution of suspects.
14.00% 14.00% On Scene Investigations - Perform on -scene investigations and process crime scenes.
9.00% 9.00% Court Assistance - Obtaining wan -ants, State Attorney's Office depositions and appear in court.
10.00% 10.00% Investi(uations Assistance - Assist Uniform Division and other agencies with investigations.
10.000/0 10.00% Training and Professional Development.
2.00% 2.00% Community Meetings/Community Policing
5.00% 5.00% Backgrounds
100.00% 100.000/0
POLICE INVESTIGATIONS DIVISION BUDGET SUMMARY
The Fiscal Year 2023-24 proposed budget for Police Investigations is S 1,495,105. This compares to the 2022-2023 projected expenditures ofS 1,211,592, an increase of
$283,513, or 23.4%.
FY 19/20 FY20/21
Actual Actual
Personal Services $ 878,785 $ 954,685 $
Operating Expenses 123,458 143,558
Capital Outlay 74,379 9,500
Total $ 1,076,622 $ 1,107,742 $
Amended
Projected
FY21/22
FY22123
FY22/23
FY23/24
Actual
Budget
Expenditures
Budget
Difference
1,017,583
$ 1,170,620
$ 1,041,930 $
1,315,280 $
273,350
140,023
158,440
157,980
168,325
10,345
3,593
13,000
11,682
11,500
(182;
1,161,198
$ 1,342,060
$ 1,211,592 $
1,495,105 $
283,513
Fiscal Year 2023-24 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-23 Projected Expenditures:
1. Personal Se"ces - Increase due to a new position, a reclass, having positions full all year, negotiated pay increases, and insurance costs
2. Operating Expenses - Increase due primarily to increased training, crime lab, and utility costs.
3. Capital Outlay - Minimal decrease due to type of investigative equipment planned for purchase this year.
Difference
$ 273,350
$ 10,345
$ (182)
.S3
KOF SEBASTIAN FLORIDA 2023/2024 ANNUAL B UDGEt�,E
PERSONAL SERVICES SCHEDULE
POLICE EWES TIGATIONS DIVISION
FULL TIME EQUIVALENTS
Projected
PAY
Amended
Expenditure
Budget
POSITION
RANGE
21/22 22/23 22/23
23/24
22/23
23124
Lieutenant
64,009 / 112,240
1.00 1.00 1.00
1.00
$ 113,750
$
120,500
Sergeant
55,660 / 97,600
2.00 2.00 2.00
2.00
161,000
173,750
Investigator
46,000 / 80,661
5.00 5.00 5.00
5.00
285,000
359,400
Crime Scene/Evidence Supervisor
47,066 / 82,365
1.00 1.00 1.00
1.00
26,250
49,500
Crime Analyst *
42,680 / 74,708
0.00 1.00 1.00
1.00
44,000
46,250
Crime Scene/Evidence Technician
38,721 / 67,762
0.00 0.00 0.00
1.00
-
39,000
Evidence Technician
38,721 / 67,762
0.50 0.50 0.50
1.00
22,000
41,000
9.50 10.50 10.50
12.00
TOTAL S ALARIES
$ 652,000
$
829,400
Overtime
50,000
52,000
* Position transferred from
FICA Taxes
54,250
68,132
Admin Division in FY23
Clothing Allowance
6,900
9,170
Deferred Compensation
6,825
16,394
Chapter 185 Retirement
157,073
160,449
Group Health Insurance Premium
93,250
151,391
Employee Assistance Program
132
209
Worker's Comp Insurance
21,500
282135
Total Personal Services
$ 1,041,930
$
1,315,280
CAPITAL OUTLAY SCHEDULE
POLICE INVESTIGATIONS DIVISION - FUNDED BY GENIR&L FUND
EXPENDITURES PER FISCAL
YEAR
Des crilmion
2023/24 2024/25 2025/26
2026/27
2027/28
TOTAL
Investigative Equipment
$
11,500 $ - $ - $
- $ -
$
11,500
$
11,500 $ - $ - $
- $ -
$
11,500
FTY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE
POLICE INVESTIGATIONS DIVISION
Code:010047
Account
Number
Description
PERSONAL
SERVICES
511200
Regular Salaries
511300
Temporary Salaries
511400
Overtime
512100
FICA Takes
512215
Clothing Allowance
512225
Deferred Compensation
512250
Chapter 185 Retirement
512301
Group Health Insurance Premium
512309
Employee Assistance Program
512400
Worker's Comp Insurance
TOTAL PERSONAL SERVICES
OPERATING EXPENDITURES
533100
Professional Services
533500
Investigations
534000
Travel and Per Diem
534105
Cellular Telephone
534110
Internet Access
534115
On-line Services
534120
Postage
534130
Express Mail Charges
534400
Rent/Leases
534420
Equipment Leases
534620
R & M-Vehicles
534630
R & M - Office Equipment
534640
R & M-Operating Equipment
534650
R & M-Radio
534800
Promotional Activities
534920
Legal Ads
535200
Departmental Supplies
535210
Computer Supplies
535230
Small Tools and Equipment
535260
Gas and Oil
535270
Uniforms and Shoes
535275
Safety Equipment
535410
Dues and Memberships
535420
Books and Publications
535450
Training and Education
TOTAL
OPERATING EXPENDITURES
CAPITAL OUTLAY
606300 IOTB
606400 Vehicles and Equipment
TOTAL CAPITAL OUTLAY
Amended Proposed
FY 19/20 FY 20/21 FY 21/22 FY 22/23 FY 22/23 FY 23/24
Actual Actual Actual Budget Pro iected Budget
528,843
580,810
634,778
741,969
652,000
829,400
30,504
43,236
0
0
0
0
43,926
42,458
49,347
50,550
50,000
52,000
45,821
51,042
51,666
61,274
54,250
68,132
9,735
10,888
10,574
10,970
6,900
9,170
4,310
4,707
5,028
8,692
6,825
16,394
118,638
121,236
151,762
157,828
157,073
160,449
77,393
77,688
93,073
112,962
93,250
151,391
143
140
139
158
132
209
19,472
22,479
21,216
26,217
21,500
28,135
878,785
954,685
1,017,583
1,170,620
1,041,930
1,315,280
80,668
84,649
76,766
79,179
79,179
81,484
534
(24)
286
2,000
2,000
2,000
4,091
4,528
4,211
8,500
8,500
8,500
4,052
3,791
3,326
3,600
2,900
3,360
3,933
3,843
4,267
4,260
4,500
5,050
1,747
1,800
1,854
1,910
1,910
2,100
26
0
0
250
250
250
184
49
0
300
300
300
576
576
576
576
576
576
416
374
381
375
375
375
1,790
6,983
8,419
5,000
5,000
5,000
1,554
4,977
11,307
12,100
12,100
15,180
0
1,239
1,703
3,000
3,000
3,000
0
29
0
200
200
200
216
300
373
400
400
400
293
0
0
750
750
750
3,549
3,659
3,836
5,000
5,000
5,200
957
4,335
676
1,000
1,000
1,000
2,406
4,156
1,080
800
800
1,300
8,651
7,793
12,671
14,000
14,000
14,000
128
851
525
1,500
1,500
2,500
435
450
500
800
800
800
355
625
750
740
740
800
0
0
0
200
200
200
6,896
8,574
6,516
12,000
12,000
141000
123,458
143,558
140,023
158,440
157,980
168,325
0
0
0
0
0
0
74,379
9,500
3,593
13,000
11,682
11,500
74,379
9,500
3,593
13,000
11,682
11,500
TOTAL POLICE INVESTIGATIONS DIVISION 1,076,622 1,107,742 1,161,198 1,342,060 1,211,592 1,495,105
S-6-
KITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGED
POLICE DISPATCH UNIT
The police Dispatch Unit operates around the clock and takes emergency and non -emergency calls for
service from the public, and dispatches calls to officers, code enforcement and volunteers. They do
investigative work for the officers utilizing the CAD, RMS, DAVID and FCIC/NCIC, provide information
services to officers as well as citizens. They monitor and record the activities of officers, community
service volunteers and code enforcement officers into the CAD system. Dispatch takes house watch
requests from citizens for the volunteers to check while they are away. Dispatch works closely with the
other dispatch centers in the surrounding cities and counties by transferring calls to them or receiving calls
from them. Dispatch uses several state of the art automated systems, which are linked to statewide and
nationwide databases.
FISCAL YEAR 2023 ACCOMPLISHMENTS
✓ Maintained a high level of customer service while dealing with shift shortages due to employee
turnover.
✓ Revamped and implemented anew 911 Emergency Dispatch training program.
✓ Added two new dispatch trainees to the team.
FISCAL YEAR 2024 GOALS AND OBJECTIVES
➢ Fill several open 911 emergency dispatcher positions.
➢ Implement a new and more efficient Computer Aided Dispatch (CAD) and Records Management
Systems (RMS).
➢ Provide advanced training for all dispatchers in handling critical incidents, stress management, and
leadership.
PERFORMANCE MEASURES
Actual
Actual
Actual
Projected
Projected
Performance Indicators
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
911 Calls Received
8,680
9,559
9,168
10,000
11,000
Code Violation Calls Received
14,431
4,845
2,928
10,000
5,000
Total Calls Received
55,105
59,690
55,312
62,000
60,000
1 Calls Per Dispatcher
6,122
7,086
8,509
7,500
8,500
+Administrative Calls Handled
18,922
21,275
19,284
20,000
20,000
!6
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE
POLICE DISPATCH UNIT PROGRAM BUDGET DESCRIPTION
STAFFING NATURE OF ACTIVITY
22123 23124
53.00% 50.00% Dispatch - Receive and dispatch calls for police services, including felony in progress and emergency
calls. Supply information to officers and callers. Record police action taken on calls for service.
1 30.00% 30.00% Calls -Receive complaint calls from public and emergency 911 calls.
14.00% 14.00% Information Retrieval - Check auto tags, VIIVs, individuals, articles through the automated in-house
records system and FCIC/NCIC systems. Send and receive LETS and faxmessages.
2.00% 2.00% Code Enforcement - Receive, document and dispatch code enforcement complaints.
1.00% 4.00% Traininn and Professional Demlownent.
100.00% 100.00%
POLICE DISPATCH UNIT BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for Police Dispatch is $856,240. This compares to the 2022-2023 projected expenditures of
$663,946, an increase of $192,294, or 29.0%.
Personal Services
Operating Expenses
Capital Outlay
Total
FY 19/20 FY 20/21
Actual Actual
$ 573,959 S 566,550 $
8,886 10,955
Amended
Projected
FY 21/22
FY 22/23
FY 22/23
Actual
Budget
Expenditures
587,522
$ 733,785
$ 652,710 $
9,145
16,995
11,236
FY 23/24
Budget Difference
840,150 $ 187,440
16,090 4,854
$ 582,845 $ 577,505 $ 596,667 $ 750,780 $ 663,946 $ 856,240 $ 192,294
Fiscal Year 2023-24 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-23 Projected Expenditures: Difference
1. Personal Seraces - Increase due to having positions full all year, negotiated pay increases, and insurance costs. $ 187,440
2. Operating Expenses - Increase due primarily to additional training. $ 4,854
3. Capital Outlay -No change. $ -
S'7
ITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE 1'
PERSONAL SERVICES SCHEDULE
POLICE DISPATCH UNIT
FULL TIME EQUIVALENTS
Projected
PAY
Amended
Expenditure
Budget
POSITION
RANGE
21/22 22/23 22/23 23/24
22/23
23/24
911 Emergency Dispatch Supervisor
54,485 / 95,348
1.00 1.00 1.00 1.00
$ 75,000
$ 78,500
911 Emergency Dispatcher
38,721 / 67,762
8.00 8.00 9.00 9.00
325,000
472,250
911 Emergency Dispatch Assistant Supervisor
1.00 1.00 0.00 0.00
-
$ -
10.00 10.00 10.00 10.00
TOTAL SALARIES
$ 400,000
$ 550,750
Overtime
94,340
60,000
FICA Taxes
38,000
46,723
Deferred Compensation
44,500
54,968
Group Health Insurance Premium
75,000
126,558
Employee Assistance Program
120
174
Worker's Comp Insurance
750
977
Total Personal Services
$ 652,710
$ 840,150
rC'ITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE1j
POLICE DISPATCH UNIT
Code:010049
Account
Number
Description
PERSONAL SERVICES
511200
Regular Salaries
511400
Overtime
512100
FICA Taxes
512225
Deferred Compensation
512301
Group Health Insurance Premium
512309
Employee Assistance Program
512400
Worker's Comp Insurance
TOTAL PERSONAL SERVICES
OPERATING EXPENDITURES
534000
Travel and Per Diem
534105
Cellular Telephone
534110
Internet Access
534420
Equipment Leases
534630
R & M-Office Equipment
534640
R & M-Operating Equipment
534650
R & M-Radios
534800
Promotional Activities
535200
Departmental Supplies
535210
Computer Supplies
535270
Uniforms
535275
Safety Equipment
535410
Dues and Memberships
535450
Training and Education
TOTAL
OPERATING EXPENDITURES
CAPITAL OUTLAY
606400 Vehicles and Equipment
TOTAL CAPITAL OUTLAY
TOTAL POLICE DISPATCH UNIT
Amended
Proposed
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Actual
Actual
Actual
Budget
Projected
Budget
383,668
372,771
360,156
487,900
400,000
550,750
54,558
67,698
86,824
50,000
94,340
60,000
32,652
32,982
33,340
41,151
38,000
46,723
36,685
35,668
40,119
48,411
44,500
54,968
65,425
56,478
66,214
105,265
75,000
126,558
132
ill
119
158
120
174
839
843
750
900
750
977
573,959
566,550
587,522
733,785
652,710
840,150
0
0
56
2,000
500
2,000
501
450
303
0
0
0
159
75
0
435
0
0
1,556
1,803
1,778
1,815
1,775
1,775
1,155
1,044
935
1,000
1,000
1,000
132
0
0
100
100
100
0
88
0
200
200
200
84
358
375
500
500
500
921
1,664
1,855
1,500
1,500
1,250
1,664
1,543
235
200
200
200
0
0
491
1,000
1,000
1,000
0
0
0
100
100
100
339
345
345
345
361
365
2,374
3,586
2,772
7,800
4,000
7,600
8,886
10,955
9,145
16,995
11,236
16,090
0
0
0
0
0
0
0
0
0
0
0
0
582,845 577,505 596,667 750,780 663,946 856,240
,(
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGETI
CODE ENFORCEMENT DIVISION
The Code Enforcement division enforces regulations to ensure the beauty and character of the City by responding to
citizen complaints and self- initiated enforcement. While providing support to other departments and the Special
Magistrate, this division works to solicit voluntary compliance whenever possible.
FISCAL YEAR 2023 ACCOMPLISHMENTS
✓ Continued a proactive approach to code violations, while striving for compliance
✓ Provided proactive and professional code enforcement services
✓ Educated the public on code enforcement concerns to improve quality of life
✓ Reduced time spent on calls increasing efficiency observing and responding to violations
✓ Investigated code violations with follow-ups, magistrate hearings, and abatements
FISCAL YEAR 2024 GOALS AND OBJECTIVES
➢ Provide professional code enforcement services
➢ Continue a proactive approach to code violations, while striving for compliance
➢ Continue an educational approach to enforcement
➢ Continue to reduce wasted time spent on calls increasing efficiency
➢ Improve on quick follow through of enforcement actions
➢ Fill the vacant administrative assistant position
PERFORMANCE MEASURES
Actual
Actual
Actual
Projected
Projected
Performance Indicators
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
Water Violations
41
1
6
30
10
Code Violations
2,387
2,029
1,194
2,200
2,000
Illegal Signs
310
367
372
400
380
Nuisance Abatement
376
481
228
450
300
Re -inspections
3,300
2,812
1,650
2,900
2,000
Property Inspections
486
651
724
550
800
PROGRAM BUDGET DESCRIPTION FOR THE CODE ENFORCEMENT DIVISION
STAFFING NATURE OF ACTIVITY
22123 23124
50.00% 50.00% Citizen Complaints - Respond to complaints of city ordinance violations and self -initiate code
compliance and enforcement.
30.00% 30.00% Re-insoections - Follow up on notices of violations to ensure compliance.
5.00% 5.00% Code Enforcement Board - Provide direct support to Code Enforcement Board for Code Enforcement
hearings.
15.00010 15.00% Documentation - To document comlaints, as well as self -initiated actions, write reports and follow
up letters and prepare documentation for Code Enforcement Board.
100.00% 100.00%
PIN
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
CODE ENFORCEMENT DIVISION BUDGET SUMMARY
The Fiscal Year2023-2024 proposed budget for Code Enforcement is $ 213,230. This compares to the 2022-2023 projected expenditures of $144,140,
an increase of $ 69,090, or47.9%.
FY 19/20
Actual
Personal Services $ 169,750 $
Operating Expenses 14,469
Capital Outlay -
Total $ 184,219 $
Amended
Projected
FY 20/21
FY 21/22
FY 22/23
FY 22/23
Actual
Actual
Budget
Expenditures
170,981
$ 160,510
$ 181,777
$ 128,475 $
16,645
17,611
20,790
15,665
187,626
$ 178,121
$ 202,567
$ 144,140 $
Fiscal Year 2023-24 Proposed Budget:
Major Current Level Changes fromFiscal Year 2022-23 Projected Expenditures:
1. Personal Services - Increase due to having positions full all year, negotiated pay increases, and insurance costs.
2.Operating Expenditures - Increase due primarily to increased training and anticipated vehicle maintenance costs.
3. Capital Outlay -No change.
PERSONAL SERVICES SCHEDULE
CODE ENFORCEMENT DIVISION
FY23/24
Budget Difference
193,025 $ 64,550
20,205 4,540
213,230 $ 69,090
Difference
$ 64,550
$ 4,540
FULL TIME EQUIVALENTS
Projected
PAY
Amended
Expenditure
Budget
POSITION RANGE
21/22 22/23 22/23
23/24
22/23
23/24
Code Enforcement Officer 35,121 / 61,462
2.00 2.00 2.00
2.00
$ 97,000
$ 102,500
Administrative Assistant 33,449 / 58,535
1.00 1.00 1.00
1.00
-
35,250
3.00 3.00 3.00
3.00
TOTAL SALARIFS
$ 97,000
$ 137,750
Overtime
1,000
1,500
FICA Taxes
7,575
10,725
Clothing Allowance
1,140
940
Deferred Compensation
8,925
12,779
Group Health Insurance Premium
10,500
26,508
Employee Assistance Program
35
52
Worker's Comp Insurance
2,300
2,771
Total Personal Services
$ 128,475
$ 193,025
1
61
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
CODE ENFORCEMENT DIVISION
Code:010045
Amended Projected Proposed
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Number
Description
Actual
Actual
Actual
Budget
Budget
Budget
PERSONAL SERVICES
511200
Regular Salaries
118,532
125,818
116,794
129,900
97,000
137,750
511400
Overtime
1,636
2,409
217
1,800
1,000
1,500
512100
FICA Taxes
9,039
9,857
8,811
10,176
7,575
10,725
512215
Clothing Allowance
1,320
1,320
1,320
1,320
1,140
940
512225
Deferred Compensation
11,096
11,821
10,801
12,133
8,925
12,779
512301
Group Health Insurance Premium
26,461
17,498
20,240
23,781
10,500
26,508
512309
Employee Assistance Program
48
48
41
48
35
52
512400
Worker's Comp Insurance
1,617
2,211
2,287
2,619
2,300
2,771
TOTAL PERSONAL SERVICES
169,750
170,981
160,510
181,777
128,475
193,025
OPERATING EXPENDITURES
533400
Other Contractual Services
828
450
406
700
500
500
534000
Travel and Per Diem
0
0
0
500
0
500
534105
Cellular Telephone
1,031
1,024
970
985
995
1,020
534110
Internet Services
866
866
851
840
840
840
534120
Postage
3,105
2,647
2,009
3,000
2,520
3,000
534420
Equipment Leases
207
271
266
275
265
265
534620
R & M-Vehicles
416
2,059
1,772
1,500
700
1,500
534630
R & M - Office Equipment
8
301
52
120
90
180
534650
R& M-Radio
0
0
0
100
0
100
534910
Clerk of Court Filing Fees
1,333
784
949
1,700
500
1,500
535200
Departmental Supplies
452
774
432
1,500
360
800
535210
Computer Supplies
27
65
0
50
0
50
535230
Small Tools and Equipment
0
0
0
100
0
100
535260
Gas and Oil
5,607
6,614
9,155
8,000
8,345
8,500
535270
Uniforms and Shoes
292
367
628
600
400
500
535275
Safety Equipment
0
0
0
100
0
100
535410
Dues and Memberships
100
100
120
120
150
150
535450
Training and Education
199
325
0
600
0
600
TOTAL OPERATING EXPENDITURES
14,469
16,645
17,611
20,790
15,665
20,205
CAPITAL OUTLAY
606400
Vehicles and Equipment
0
0
0
0
0
0
TOTAL CAPITAL OUTLAY
0
0
0
0
0
0
TOTAL CODE ENFORCEMENT DIVISION
184,219
187,626
178,121
202,567
144,140
213,230
b2
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE
ROADS & MAINTENANCE DIVISION
The Roads and Maintenance Division is responsible for the repair and maintenance of the public streets and right-of-
ways, and public infrastructures such as docks, piers, boat ramps, and sidewalks. In addition the division provides
heavy construction support to other departments as needed.
FISCAL YEAR 2023 ACCOMPLISHMENTS
✓ Installed new Rectangular Rapid -Flashing Beacon (RRFB) at Main St and Easy St Pedestrian Crosswalk
✓ Completed ADA compliant sidewalks at George St Park
✓ Continued to maintain and repair pot hole and roadway repairs with hot asphalt and cold patch
✓ Assisted Stormwater division with road crossing repairs as well as Right of Way maintenance for newly paved
streets
✓ Maintained City Right of Ways free of debris for clear visibility
✓ Reviewed Citywide assessment of pavement condition and determined a citywide seven year road repaving
and treatment plan citywide
FISCAL YEAR 2024 GOALS AND OBJECTIVES
➢ Continue sidewalk trip hazard inspection and repair program for 100% of City sidewalks
➢ Continue repainting of STOP sign stop bar markings Citywide as well as high trafficked school crossing zones
➢ Continue roadway and pot hole maintenance and repair program
➢ Install a new sidewalk approximately 1,100 feet in length to allow continuous passage from Bristol St to US-1
on Barber Street connecting previously created sidewalks with safe crosswalks once Brightline construction is
complete
➢ Remove and replace a significant amount of sidewalks citywide that have had temporary repairs to allow
immediate safety
➢ Implement FieldMaps GIS tracking of pothole repairs as well as sidewalk repairs for greater transparency
➢ Begin a Citywide traffic analysis program where data is collected for all major and minor collectors on a
quarterly basis rather than on request to help fill in data gaps for planning
PERFORMANCE MEASURES
Actual
Actual
Actual
Projected
Projected
Performance Indicators
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
Miles of Paved Roads Maintained
157
157
157
160
158
Number of Parking Lots Maintained
16
23
23
23
23
Miles of Sidewalks Maintained
26
27
27
28
28
103
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE11
ROADS & MAINTENANCE DIVISION PROGRAM BUDGET DESCRIPTION
STAFFING NATURE OF ACTIVITY
22123 23124
60.00% 60.00% Streets and Allevways - Maintain 160 miles of paved streets. Maintain twenty-three (23) municipally
owned parking areas. Perform repairs to streets and roadways that are damaged due to deterioration.
Mow and clear street right of ways.
20.00% 20.00% General Maintenance - maintain hazard free pedestrian sidewalks.
5.00% 5.00% General Administration - Preparation of budget, update service records. Maintain equipment records.
Review contracts and construction drawings on City Contract work. Meet with public as necessary.
Coordinate employee training and education.
15.00% 15.001/10 Assistine other City Den;irtments - Lift heavy material with heavy equipment, repair roadways and
sidewalks following storm damage, transport heavy equipment and supplies to work -sites and grade
parks and ballfields.
100.00% 100.00%
ROADS & MAINTENANCE DIVISION BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for the Roads and Maintenance Division is $ 1,482,265. This compares to the 2022-2023 projected
expenditures of $1,044,977, an increase of $ 437,288 or 41.85%.
FY 19/20
Actual
Personal Services
$ 588,186 $
Operating Expenses
335,797
Capital Outlay
39,190
Total
$ 963,173 $
Amended Projected
FY20/21
FY21/22
FY22/23
FY22/23
FY23/24
Actual
Actual
Budget
Expenditures
Budget
Difference
555,076
$ 552,611
$ 689,530
$ 638,245
$ 793,810
$ 155,565
328,867
346,064
448,955
388,318
470,555
82,237
43,777
60,498
18,924
18,414
217,900
199,486
927,720
$ 959,173
$ 1,157,409
$ 1,044,977
$ 1,482,265
$ 437,288
Fiscal Year 2023-24 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-23 Projected Expenditures
1. Personal SerNices - Increase due to having positions full all year, negotiated pay increasees, and insurance costs
2. Operating Expenses - Increase due to anticipcated utility cost increases and additional maintenance required.
3. Capital Outlay -Increase due to larger vehicle and equipment requested this year and sidewalk replacement.
0
Difference
$ 155,565
$ 82,237
$ 199,486
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGETI-i
PERSONAL SERVICES SCHEDULE
ROADS & MAINTFNANCEDIVISION
Projected
PAY Amended
Expenditure
Budget
POSITION
RANGE 21/22 22/23 22/23
23/24
22/23
23/24
Public Works Director/City Engineer
84,405 / 147,710 1.00 1.00 1.00
1.00
103,000
108,250
Roads Superintendent
57,209 / 100,115 0.00 1.00 1.00
1.00
59,250
62,250
Roads Assistant Superintendent
51,890 / 90,808 1.00 1.00 1.00
1.00
52,150
54,750
Traffic Technician II
38,721 / 67,762 1.00 1.00 1.00
1.00
42,500
44,000
Traffic Technician I
36,877 / 64,535 1.00 1.00 1.00
0.00
26,750
-
Maintenance Worker III
40,657 / 71,150 1.00 0.00 0.00
0.00
-
-
Maintenance Worker II
36,877 / 64,535 1.00 2.00 2.00
2.00
67,500
80,250
Maintenance Worker I
31,200 / 54,697 3.00 2.00 2.00
3.00
43,750
100,500
Administrative Assistant
33,449 / 58,535 1.00 1.00 1.00
1.00
39,250
40,250
Clerical Assistant 1 *
28,894 / 50,565 0.00 0.00 1.00
1.00
7,500
32,000
10.00 10.00 11.00
11.00
TOTAL SALARIES
$ 441,650
$ 522,250
* Position transferred from Stormwater
Overtime
7,000
15,000
during FY23
FICA Taxes
34,500
41,239
Clothing Allowance
1,450
1,800
Deferred Compensation
40,500
48,839
Croup Health Insurance Premium
83,500
129,335
Employee Assistance Program
145
192
Worker's Comp Insurance
29,500
35,155
Total Personal Services
$ 638,245
$ 793,810
CAPITAL OUTLAY SCHEDULE
ROADS AND MAINTENANCE DIVISION -
TO BE FUNDED BY GENERAL FUND
EXPENDITURES PER
FISCAL YEAR
Description
2023/24 2024/25 2025/26
2026/27
2027/28
TOTAL
Sign Shop Truck
$ 75,000 $ - $ -
$ -
$ - $
75,000
Sidewalk Replacement
75,000 75,000 75,000
75,000
75,000
375,000
Air Compressor Jack Hammer
28,400 -
-
-
28,400
Pavement Grinder
22,000 -
22,000
Enclosed Trailer
8,000
8,000
Vinyl Printer
6,000
6,000
Traffic Analyzers (2)
3,500 - -
-
-
3,500
$ 217,900 $ 75,000 $ 75,000
$ 75,000
$ 75,000 $
517,900
ROADS AND MAINTENANCE DIVISION -
TO BE FUNDED BY LOCAL OPTION GAS TAX
EXPENDITURES PER FISCAL YEAR
Description
2023/24 2024/25 2025/26
2026/27
2027/28
TOTAL
Street Repaving
$ 533,423 $ 1,099,840 $ 772,192
$ 569,552
$ 392,611 $
3,367,618
$ 533,423 $ 1,099,840 $ 772,192
$ 569,552
$ 392,611 $
3,367,618
ROADS AND MAINTENANCEDIVISION-TO
BEFUNDED BYDISCRETIONARYSALES TAX
EXPENDTTURES PER FISCAL YEAR
Description
2023/24 2024/25 2025/26
2026/27
2027/28
TOTAL
Street Reconstruction
$ 1,780,163 $ 1,209,768 $ 801,028
$ 1,017,818
$ 1,614,132 $
6,422,909
$ 1,780,163 $ 1,209,768 $ 801,028
$ 1,017,818
$ 1,614,132 $
6,422,909
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE�
ROADS & MAINTENANCE DIVISION
Code: 010052
Amended
Proposed
Account
FY19/20
FY20/21
FY21/22
FY22/23
FY22/23
FY23/24
Number
Descriodon
Actual
Actual
Actual
Budeet
Projected
Budget
PERSONAL
SERVICES
511200
Regular Salaries
401,366
362,321
375,143
467,375
441,650
522,250
511400
Overtime
6,224 1
10,958
13,907
12,000
7,000
15,000
512100
FICA Taxes
29,617
27,149
28,967
36,755
34,500
41,239
512215
Clothing Allowance
840
960
720
1,080
1,450
1,800
512225
Deferred Compensation
35,403
34,089
33,591
43,529
40,500
48,839
512301
Group Health Insurance Premium
91,316
89,039
71,390
92,138
83,500
129,335
512309
Employee Assistance Program
157
148
133
158
145
192
512400
Workers Comp Insurance
23,264
30,412
28,760
36,495
29,500
35,155
TOTAL PERSONALSERVICES
588,186
555,076
552,611
689,530
638,245
793,810
OPERATING
EXPENDITURES
533150
Engineering Services
0
12,555
0
12,000
0
14,000
533400
Other Contractual Services
1,313
0
3,200
18,200
3,200
3,600
534000
Travel and Per Diem
1,414
142
2,426
4,560
1,238
4,825
534101
Telephone
666
241
221
0
60
0
534105
Cellular Telephone
2,058
2,390
2,731
3,360
2,925
3,000
534110
Internet Services
467
432
428
1,180
1,180
1,980
534120
Postage
0
1
41
100
0
100
534130
Express Mail Charges
0
0
0
100
0
100
534310
Electric
3,137
3,358
3,976
3,540
1,875
1,500
534315
Street Lighting
221,886
195,719
202,161
216,200
223,625
244,100
534320
Water/Sewer
365
363
324
385
315
360
534380
Trash Pickup/Hauling, Etc.
2,414
2,250
1,164
3,300
800
1,750
534420
Equipment Leases
1,594
2,550
774
3,195
800
5,145
534620
R & M -Vehicles
16,052
24,464
10,322
27,000
26,750
26,000
534630
R & M-Office Equipment
1,953
929
967
1,680
500
1,830
534640
R & M -Op erating Equipment
5,466
15,668
21,776
22,800
9,750
25,000
534682
R & M - Sidewalks
0
0
0
4,000
4,000
8,000
534920
Legal Ads
0
0
0
600
0
600
535200
Departmental Supplies
3,868
3,048
2,779
7,360
8,200
7,660
535210
Computer Supplies
507
91
935
1,400
1,400
700
535230
Small Tools and Equipment
2,568
5,796
5,956
7,000
4,000
5,100
535260
Gas and Oil
17,615
20,762
33,464
30,000
32,000
32,000
535270
Uniforms and Shoes
2,677
2,230
2,724
2,965
2,800
2,985
535275
Safety Equipment
1,873
597
876
1,200
1,200
1,400
535310
Road Materials & Supplies
18,414
16,239
15,415
27,000
22,000
37,000
535350
Cement
452
323
1,298
1,300
1,300
1,900
535385
Signs& Marking Supplies
24,504
17,237
26,304
36,000
36,000
28,000
535410
Dues and Memberships
910
784
1,008
1,750
1,000
1,845
535450
Training and Education
3,624
710
4,795
10,780
1,400
10,075
TOTAL OPERATING EXPENDITURES
335,797
328,867
346,064
448,955
388,318
470,555
CAPITALOUTLAY
606400
Vehicles and Equipment
39,190
43,777
60,498
18,924
18,414
142,900
606900
Infrastructure
0
0
0
0
0
75,000
TOTAL CAPITAL OUTLAY
39,190
43,777
60,498
18,924
18,414
217,900
TOTAL ROADS&MAINTENANCE
963,173
927,720
959,173
1,157,409
1,044,977
1,482,265
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGED
FLEET MANAGEMENT DIVISION
The Fleet Management Division develops, manages and provides vehicle and equipment maintenance services for all
City -owned vehicles and equipment, with the exception of the Golf Course. This includes 114 vehicles, 47 units of
major equipment and 220 units of smaller equipment and tools. In addition, the Fleet Management staff also maintains
the City's fuel facilities in the compound, assuring fuel availability for the fleet and compliance with FDEP
requirements.
FISCAL YEAR 2023 ACCOMPLISHMENTS
✓ Completed transition to new Public Works Compound
✓ Managed auction sales of obsolete City property items including fuel system at the old compound
✓ Continued responsible management of fuel/petroleum storage; use; and waste disposal
✓ Maintained service schedules with a combination of in house and external service
✓ Initiated new Citywide reporting system to initiate work orders
✓ Acquired additional scanning technology in order to diagnose more issues in house instead of relying on
outside vendors and dealerships
✓ Started practice of completing oil changes in house use new lifts and oil storage depository
FISCAL YEAR 2024 GOALS AND OBJECTIVES
➢ Continue to update and enhance the work order request system
➢ Enhance utilization of work order system to track the life cycle cost of a vehicle more effectively
➢ Utilize heavy equipment lift at Public Works compound to complete more service in house on heavier
equipment
➢ Utilize the new fueling station's preventative maintenance tracking
system
PERFORMANCE MEASURES
Actual Actual
Actual
Projected
Projected
Performance Indicators 2019/2020 2020/2021
2021/2022
2022/2023
2023/2024
Number of Vehicles Maintained 118 107
114
120
116
(Number of Heavy Equ11iment Maintained 24 37
47
37
50
Number of Light Equil)ment Maintained 207 219
220
220
225
Preventive Maintenance Services 171 76
109
175
150
Road Service Calls 24 8
30
50
50
Completed Service Requests 1170 1464
1227
1400
1400
6-7
ITY OF 5EBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGETI
FLEET MANAGEMENT DIVISION PROGRAM BUDGET DESCRIPTION
STAFFING NATURE OF ACTIVITY
22123 23124
10.00% 10.00% Administration of City Fleet Mana,=ement Program - Supervise and direct employees in the implementation of a
Fleet Management Program for over 300 pieces of equipment. Develop and direct the maintenance of a 2,800 sq. ft.
maintenance facility.
45.00% 45.00% Vehicle Maintenance - Schedule and perform vehicle preventive maintenance, mechanical and body repair services
on all city -owned vehicles and equipment, except Golf Course equipment.
10.00% 10.00% Order and Parts Processing - Order, receive and stock vehicle repair parts and material Schedule vehicle sublet
repairs.
5.00% 5.00% Emplovee Training - Train employees in new corrective repair procedures, waste disposal, and Department of Labor
Safety Requirements and Standards.
10.00% 10.00% Vehicle Data Processing - Data processing of work orders, issue slips, purchase orders and parts. Maintain
computerized parts and tools inventory.
5.00% 5.00% General Administrative - Preparation of Budget, maintenance of vehicle records and training records.
5.00% 5.00% Administration of City Fuel Facili Mana_-ement Program - Supervise and maintain unleaded gasoline and diesel
fuel storage and dispensing facilities. Implement, monitor and maintain Fuel Management System.
5.00% 5.00% Planning and implementation of Fleet Maintenance Pro :rams - Plan, develop and implement programs to
IJ modernize facilities, equipment and tools.
5.00% 5.00% General Administrative Program - Implementation of Guidelines for the acquisition and replacement of Fleet
Assets.
100.00% 100.00%
FLEET MANAGEMENT DIVISION BUDGET SUMMARY
The Fiscal Year2023-2024 proposed budget forFleet Management is $ 318,825. This compares to the 2022-2023 projected expenditures of $ 259,535,
an increase of $ 59,290, or 22.84%.
Amended
Projected
FY19/20 FY20/21 FY21/22
FY22/23
FY22/23
FY23/24
Actual Actual Actual
Budget
Expenditures
Budget
Difference
Personal Services $ 180,924 $ 189,783 $ 200,515
$ 232,749
$ 219,175
$ 284,895
$ 65,720
Operating Expenses 18,950 22,143 25,553
30,535
26,560
33,930
7,370
Capital Outlay 2,376 - -
20,000
13,800
-
(13,800)
Total S 202,251 $ 211,926 $ 226,068
$ 283,284
$ 259,535
$ 318,825
$ 59,290
Fiscal Year 2023-24 Proposed Budget:
Major Current Level Changes from Fiscal Year2022-23 Projected Expenditures
Difference
1. Personal Services - Increase due to a reclass, having positions full all year, negotiated salary increases, and insurance costs.
$ 65,720
2. Operating Expenses - Increase due primarily to new tools needed and additional
training.
$ 7,370
3. Capital Outlay - Decrease due to no capital purchases requested this year.
$ (13,800)
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'Ii
PERSONAL SERVICES SCHEDULE
FLEET MANAGEVIEVT DIVISION
FULL TAM EQUIVALENTS
PAY
Amended
POSITION
RANGE
21/22
22/23
22/23
23/24
Fleet Superintendant
51,890 / 90,807
1.00
1.00
1.00
1.00
Lead Mechanic/Garage Supervisor
42,690 / 74,708
1.00
1.00
1.00
1.00
Mechanic
36,877/ 64,535
1.00
1.50
1.50
2.00
3.00
3.50
3.50
4.00
TOTAL SALARIES
Overtime
FICA Taxes
Clothing Allowance
Deferred Compensation
Group Health Insurance Premium
Finployee Assistance Program
Worker's Comp Insurance
Total Personal Services
In
Projected
Expenditure
Budget
22/23
23124
$ 68,250
$ 72,000
45,000
47,000
45,750
79,500
$ 159,000 $ 198,500
1,500
1,500
12,327
15,360
650
800
14,000
18,072
27,900
45,893
48
70
3,750
4,700
$ 219,175 $ 284,895
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'11
FLEET MANAGEMENT DIVISION
Code: 010054
Account
Amended Proposed
FY 19/20 FY 20/21 FY 21/22 FY 22/23 FY 22/23 FY 23/24
Number
Description
Actual
Actual
Actual
Budget
Projected
Budget
PERSONAL SERVICES
511200
Regular Salaries
131,844
135,656
145,421
172,426
159,000
198,500
511400
Overtime
977
1,352
529
500
1,500
1,500
512100
FICA Taxes
10,025
10,357
10,874
13,265
12,327
15,360
512215
Clothing Allowance
360
360
360
480
650
800
512225
Deferred Compensation
11,606
12,343
13,139
13,519
14,000
18,072
512301
Group Health Insurance Premium
22,286
25,492
26,480
27,970
27,900
45,893
512309
Employee Assistance Program
48
48
48
48
48
70
512400
Worker's Comp Insurance
3,779
4,175
3,665
4,541
3,750
4,700
TOTAL PERSONAL SERVICES
180,924
189,783
200,515
232,749
219,175
284,895
OPERATING EXPENDITURES
533400
Other Contractual Services
50
330
75
150
150
150
533410
Environmental Services
882
905
751
1,100
400
1,100
534000
Travel and Per Diem
0
0
16
50
0
50
534105
Cellular Telephone
1,046
1,063
1,003
1,080
1,060
1,105
534110
Internet Access
0
0
0
400
400
1,080
534310
Electric
2,890
2,681
3,104
1,000
1,660
1,500
534320
Water/Sewer
291
363
324
300
315
340
534420
Equipment Leases
705
644
628
645
625
625
534610
R & M - Buildings
74
0
0
400
75
0
534620
R & M-Vehicles
926
2,164
999
1,000
350
1,000
534630
R & M - Office Equipment
887
2,942
1,350
2,375
3,300
4,155
534640
R & M-Operating Equipment
1,485
2,201
7,000
4,825
1,100
5,015
535200
Departmental Supplies
4,057
3,992
4,782
2,005
8,000
2,285
535210
Computer Supplies
0
62
57
2,065
200
1,520
535230
Small Tools and Equipment
1,687
902
1,386
6,500
3,500
6,000
535260
Gas and Oil
1,247
816
1,734
1,200
2,200
2,400
535270
Uniforms and Shoes
641
679
712
1,090
750
1,090
535275
Safety Equipment
158
304
58
300
300
300
535410
Membership & Professional Dues
1,500
1,500
1,575
2,700
1,575
1,575
535450
Training and Education
425
595
0
1,350
600
2,640
TOTAL OPERATING EXPENDITURES
18,950
22,143
25,553
30,535
26,560
33,930
CAPITAL OUTLAY
606400
Vehicles and Equipment
2,376
0
0
20,000
13,800
0
TOTAL CAPITAL OUTLAY
2,376
0
0
20,000
13,800
0
TOTAL FLEET MANAGEMENT DIVISION
202,251
211,926
226,068
283,284
259,535
318,825
19
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGED
FACILITIES MAINTENANCE DIVISION
The Facilities Maintenance Division is responsible for the maintenance and repair of all city buildings and
facilities and the supervision of contractors/vendors to ensure contractual obligations are fulfilled. The
division also provides miscellaneous janitorial services and support to all community activities as well as all
departments by providing such services as moving office equipment and furniture. This division also
oversees all internal construction projects throughout the City.
FISCAL YEAR 2023 ACCOMPLISHMENTS
FISCAL YEAR 2024 GOALS AND OBJECTIVES
PERFORMANCE MEASURES
lPerformance Indicators
Number of facility and sites maintained
Total square footage maintained
Total number of work orders completed
Cost per square foot maintained
Actual
Actual
Actual
Projected
Projected
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
57
57
57
57
57
161,538
161,538
161,358
185,811
185,811
180
165
194
190
190
$3.52
$3.71
$3.49
$3.98
$4.66
-71
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
PROGRAM BUDGET DESCRIPTION FOR THE FACILITIES MAINTENANCE DIVISION
STAFFING NATURE OFACTIVITY
22123 23124
60.00% 60.00% Propgr Maintenance - Provide continuous maintenance and repair to all City buildings and facilities.
These activities are in the following disciplines: Design/Constriction, Electrical, Painting, Plumbing,
Cabinetry, Carpentry, and General Maintenance.
15.00% 15.001/o Administration - Supervise City facility contractors to ensure contractual obligations are enforced.
Provide general administrative duties to ensure overall efficient operation of City owned facilities and the
preparation of annual division budget.
25.00% 25.00% General Services - Perform duties such as supporting conuminity activities, moving office furniture, and
providing janitorial services for all City facilities.
I 100.00% 100.00%
FACILITIES MAINTENANCE DIVISION BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for Facilities Maintenance is $ 854,465. This compares to the 2022-2023 projected expenditures of
$755,117, an increase of $ 99,348, or 13.16%.
Amended
Projected
FY 19/20
FY 20/21
FY 21/22
FY 22123
FY 22/23
FY 23/24
Actual
Actual
Actual
Budget
Expenditures
Budget
Difference
Personal Services
$ 279,726
$ 290,017
$ 267,987
$ 262,645
$ 255,285
$ 291,095
S 35,810
Operating Expenses
234,361
234,368
286,640
487,015
444,958
423,370
(21,588)
Capital Outlay
54,094
74,585
8,338
55,148
54,874
140,000
85,126
Total
$ 568,181
$ 598,970
$ 562,965
$ 804,808
$ 755,117
$ 854,465
$ 99,348
Fiscal Year 2022-2023 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-2023 Projected Expenditures Difference
1. Personal SerNices - Increase due to having positions full all year, longevity, negotiated pay increases and insurance costs. $ 35,810
2. Operating Egxnses - Decrease due carpet replacement completed in the prior year. $ (21,588)
3. Capital Outlay -Increase due to several roof replacements and a larger vehicle replacement this year. $ 85,126
-72
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
PERSONAL SERVICES SCHEDULE
FACILITIES MAINTIIVANCE
FULL TIME EQUIVALENTS
Projected
PAY
Amended
Expenditure
Budget
POSITION
RANGE
21/22 22123 22/23
23/24
22/23
23/24
Facilities Maintenance Superintendent
57,209 / 78,662
1.00 1.00 1.00
1.00
$ 59,000
$ 62,750
Facilities Foreman
42,690 / 74,708
1.00 1.00 1.00
1.00
45,500
53,000
Construction Specialist I
40,657 / 71,150
0.00 1.00 1.00
1.00
33,000
43,000
Maintenance Worker II
36,877 / 64,535
1.00 1.00 1.00
1.00
40,000
43,750
On -Call
$1.00/hr
0.00 0.00 0.00
0.00
6,525
6,525
3.00 4.00 4.00
4.00
TOTAL SALARIES
$ 184,025
$ 209,025
Overtime
4,000
4,000
FICA Taxes
14,500
16,357
Clothing Allowance
800
800
Deferred Compensation
17,000
19,244
Group Health Insurance Premium
28,250
34,082
Employee Assistance Program
60
70
Worker's Comp Insurance
6,650
7,517
Total Personal Services
$ 255,285
$ 291,095
CAPITAL OUTLAY SCHEDULE
FACILITIES MAINTENANCE -TO BE FUNDED BY GENERAL FUND
EXPENDITURES PER FISCAL YEAR
Description 2023/24 2024/25 2025/26 2026/27 2027/28 TOTAL
Work Van $ 63,000 $ - $ - $ - S $ 63,000
Roof Replacements (Restrooms) 17,000 - - - 17,000
Roof Replacement (Senior Center) 60,000 - - - 60,000
Roof Replacement (Art Center) - 30,000 - - 30,000
Pick -Up Truck (1/2 ton extended cab) - - - 45,000 - 45,000
$ 140,000 $ 30,000 $ - $ 45,000 $ - $ 215,000
FACILITIES MAINTENANCE -TO BE FUNDED BY DISCRETIONARY SALES TAX
EXPENDITURES PER FISCAL YEAR
DescriiAion 2023/24 2024/25 2025/26 2026/27 2027/28 TOTAL
Air Conditioner Replacements $ 25,000 $ 30,000 $ 30,000 $ 35,000 $ 35,000 S 155,000
$ 25,000 $ 30,000 $ 30,000 $ 35,000 $ 35,000 $ 155,000
(CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
FACILITIES MAINTENANCE DIVISION
Code: 010056
Account
Number
Description
PERSONAL
SERVICES
511200
Regular Salaries
511400
Overtime
512100
FICA Taxes
512215
Clothing Allowance
512225
Deferred Compensation
512301
Group Health Insurance Premium
512309
Employee Assistance Program
512400
Worker's Comp Insurance
TOTAL PERSONAL SERVICES
OPERATING EXPENDITURES
533400
Other Contractual Services
533415
Janitorial Services
533420
Pest/Weed Control
534000
Travel and Per Diem
534105
Cellular Telephone
534310
Electric
534320
Water/Sewer
534400
Rents and Leases
534420
Equipment Leases
534610
R & M - Buildings
534620
R & M-Vehicles
534625
R & M - Lighting
534630
R & M - Office Equipment
534640
R & M-Operating Equipment
535200
Departmental Supplies
535210
Computer Supplies
535220
Cleaning Supplies
535230
Small Tools and Equipment
535260
Gas and Oil
535270
Uniforms and Shoes
535275
Safety Equipment
535410
Memberships & Dues
535450
Training and Education
TOTAL
OPERATING EXPENDITURES
CAPITAL OUTLAY
606200 Buildings
606400 Vehicles and Equipment
TOTAL CAPITAL OUTLAY
TOTAL FACILITIES MAINTENANCE
Amended
Proposed
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Actual
Actual
Actual
Budget
Proiected
Budget
206,507
214,835
201,182
183,466
184,025
209,025
3,441
3,668
2,515
4,000
4,000
4,000
15,899
16,464
15,519
14,378
14,500
16,357
360
360
360
480
800
800
18,910
19,689
18,347
16,900
17,000
19,244
28,528
27,685
23,260
35,967
28,250
34,082
63
63
55
63
60
70
6,017
7,252
6,749
7,391
6,650
7,517
279,726
290,017
267,987
262,645
255,285
291,095
14,803
27,882
38,928
47,247
47,247
57,900
98,386
100,492
113,879
148,716
148,716
149,505
3,096
3,192
5,070
4,352
4,300
5,610
0
0
6
0
0
0
1,657
1,554
1,344
1,560
1,330
1,440
0
0
0
76,000
33,315
39,600
0
0
0
4,000
2,860
3,180
3,000
6,000
6,000
62,860
62,860
62,860
3,055
783
775
1,295
750
260
81,923
57,430
74,025
93,965
93,965
51,300
1,614
4,535
6,161
3,500
3,500
2,500
2.325
1,290
3,249
3,500
3,500
3,000
21
721
890
1,020
115
120
263
4,023
2,892
5,100
5,100
3,200
3,081
3,511
4,858
4,000
5,000
6,000
46
105
385
500
500
300
12,626
12,247
15,545
18,000
18,000
20,000
2,001
2370
1,660
1,500
2,000
4,000
5,082
6,471
9,587
7,000
9,000
9,000
860
941
1,109
1,400
1,400
1,695
196
221
262
300
300
300
185
220
15
0
0
0
140
379
0
1,200
1200,
1,600
234,361
234,368
286,640
487,015
444,958
423,370
0
0
0
0
0
77,000
54,094
74,585
8,338
55,148
54,874
63,000
54,094
74,585
8,338
55,148
54,874
140,000
568,181 598,970 562,965
804,808 755,117 854,465
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'11
LEISURE SERVICES DEPARTMENT
The Leisure Services Department is responsible for all maintenance and upkeep of the City parks and landscaped areas
of City properties. Responsibilities include landscaping, sports turf management, trash removal, planting & removal of
trees, shrubs, and annuals at seventeen (17) parks, grounds of four (4) City Buildings, two (2) boat ramps, Indian River
Drive walkway and four (4) piers. Provides irrigation maintenance on all city properties, daily maintenance of five (5)
baseball/softball fields, three (3) football/soccer fields, ten (10) tennis courts including four (4) clay courts, eight (8)
pickle ball courts, four (4) basketball courts, Dog Park, Splash Pad, medians on US 1 and Schumann Drive, and all of
the Sebastian Blvd. intersections within City limits. The department also provides; aerobics, exercise, dance, Yoga,
Tai Chi, baby bees and karate programs at the Community Center. Operates the Skate Park and Clay Tennis Courts at
Friendship Park and coordinates the annual Easter Egg Hunt and Halloween Special Events. The Department also
reserves the Yacht Club and Community Center facilities, along with Riverview Park and various pavilions for events
and meetings. Leisure Services is also responsible for fulfilling City -sponsored special event requirements and to
provide the necessary manpower to ensure these events are successful while maintaining the health of Riverview Park.
FISCAL YEAR 2023 ACCOMPLISHMENTS
FISCAL YEAR 2024 GOALS AND OBJECTIVES
PERFORMANCE MEASURES
Actual
Actual
Actual Projected Projected
Performance Indicators
2019/2020
2020/2021
2021/2022 2022/2023 2023/2024
Neighborhood Parks
42.26 Acres
42.26 Acres
42.26 Acres
Community Parks
62.88 Acres
62.88 Acres
62.88 Acres
Barber Street Sports Complex
22.54 Acres
22.54 Acres
22.54 Acres
Special Facilities
7.17 Acres
7.17 Acres
7.17 Acres
(Nature Preserve Areas
244.24 Acres
244.24 Acres
244.24 Acres
City Grounds
8 Acres
8 Acres
8 Acres
Medians and Walkways
5 Miles
5 Miles
5 Miles
-7-6-
JCITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'Ij
LEISURE SERVICES DEPARTMENT PROGRAM BUDGET DESCRIPTION
STAFFING NATURE OFACTIYITY
22123 23124
40.00% 40.00% Parks - Mow, weed, and edge 165 acres of park land and 18 park locations. Remove trash at all parks to
maintain maximum cleanliness.
4.00% 4.00% Active Recreation - Provide aerobics, exercise, dance, Yoga, Tai Chi, baby bees, and karate programs at
If the Commiunity Center.
15.00% 15.00% Recreation - Fulfill City -sponsored event requirements and provide the necessary manpower forthese.
Ensure Riverview Park and/or Riverfront are prepared in a timely manner, per event demands, and insure
all efforts are made to maintain the health of Riverview Park
5.00% 5.00% Plavarounds - Repair and maintain equipment at all City owned playground areas.
15.00% 15.00% Ballfields - Fertilization and pest control, drag, rake, mow, remove trash, and maintain facilities at 8
athletic fields to maintain a safe area of play within the 22 acre Sports Complex
15.00% 15.00% Landscaping - Trimming, removal and replacement of trees, plants, mulch, and sod on all City
properties.
6.00% 6.00% Structural Repairs and L-rivation - Maintain, repair and/or replace buildings, structures and irrigation
systems.
1 100.00% 100.00%
LEISURE SERVICES DEPARTMENT BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for Leisure Services is $ 1,375,530. This compares to the 2022-2023 projected expenditures of
$1,306,227, an increase of $ 69,303 or 5.31%.
Amended
Projected
FY19/20
FY20/21
FY21/22
FY22/23
FY22/23
FY23/24
Actual
Actual
Actual
Budget
Expenditures
Budget
Difference
Personal Services
$ 736,297
$ 732,945
$ 769,163
$ 959,311
$ 872,915 $
1,027,320
$ 154,405
Operating Expenses
218,871
253,790
287,401
302,190
293,942
310,210
16,268
Capital Outlay
154,854
49,059
36,329
145,870
139,370
38,000
(101,370)
Total
$ 1,110,021
$ 1,035,794
$ 1,092,893
$ 1,407,371
$ 1,306,227 $
1,375,530
$ 69,303
Fiscal Year 2023-2024 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-2023 Projected Expenditures Difference
1. Personal Services - Increase due to having positions full all year, negotiated salary increases, and insurance costs. $ 154,405
2. Operating Expenses - Increase due primarily to utility cost increases and anticipated repairs. $ 16,268
3. Capital Outlay - Decrease due to fewer large pieces of equipment requested this year. $ (101,370)
76
10T'I' OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'11
PERSONAL SERVICES SCHEDULE
LEIS URE SERVICES DEPARTMENT
FULL TIMEEQUIVALFNTS
Projected
PAY
Amended
Expenditure
Budget
POSITION
RANGE
21/22 22/23 22/23 23/24
22/23
23/24
Leisure Services Director
84,405 / 147,710
1.00 1.00 1.00
1.00
$ 96,300 $
103,750
Parks Superintendent
57,209 / 100,115
1.00 1.00 1.00
1.00
$ 54,500 $
63,000
Recreation Supervisor
42,690/ 74,708
1.00 1.00 1.00
1.00
61,500
63,250
Special Events Coordinator/Maint Worker III
40,657/ 71,150
1.00 1.00 1.00
1.00
52,500
57,000
Maintenance Worker II
36,877/ 64,535
4.00 4.00 4.00
4.00
113,500
157,000
Maintenance Worker I
31,200 / 54,697
5.00 5.00 5.00
5.00
153,500
167,250
Administrative Assistant
33,449 / 58,535
0.00 1.00 1.00
1.00
34,500
38,250
Clerical Assistant I
28,894 / 50,565
1.00 0.00 0.00
0.00
-
-
Tennis Court Attendants (P/T)
$12.00/hr - $ 21.00/hr
2.00 2.00 2.00
2.00
55,750
62,500
16.00 16.00 16.00
16.00
TOTAL SALARIES
$ 622,050 $
712,000
Overtime
30,000
30,000
FICA Taxes
50,025
56,948
Clothing Allowance
1,910
2,400
Deferred Compensation
54,000
61,857
Croup Health Insurance Premium
92,000
138,334
Employee Assistance Program
180
244
Worker's Comp Insurance
22,750
25,537
Total Personal Services
$ 872,915 $
1,027,320
lCl-T,-Y,-OF-S-,-E-B-A-S-T,I-AN, FLORIDA 2023/2024 ANNUAL BUDGE
CAPITAL OUTLAY SCHEDULE
LEISURE SERVICES DEPARTMENT- TO BE FUNDED BY GENERAL FUND
EXPENDITURES PER FISCAL YEAR
Description
2023/24
2024/25 2025126 2026/27 2027/28
TOTAL
Zero Turn Mower
$ 11,000
$ - $ $ - $
$ 11,000
Enclosed Trailer
12,000
12,000
24,000
Shed
15,000
-
15,000
Pick -Up Truck (1/2 ton e7dended cab)
-
40,000 -
40,000
(2) Zero Turn Mowers
-
28,000 -
28,000
Bush Hog Mower
-
- - 22,000
22,000
$ 38,000
$ 52,000 $ $ 28,000 S 22,000
S 140,000
LELSURESERVICES DEPARTMENT-TOBEFUNDEDBYRECRFATIONIlVIPACTFEES
EXPFNDTTURES PER FISCAL YEAR
Description 2023/24 2024/25 2025/26 2026/27 2027/28
Playground Improvements $ 350,000 $ 60,000 $ 120,000 $ 120,000 S 80,000 $
Park Improvements 20,000 20,000 20,000 20,000 20,000
$ 370,000 $ 80,000 $ 140,000 $ 140,000 $ 100,000 $
LEISURE SERVICES DEPARTMENT- TO BE FUNDED BY DIS CRETIONARY SALES TAX
Description 2023/24 2024/25 2025/26 2026/27 2027/28
Friendship Park Baseball Field Improvements $ 25,000 $ - $ - $ $ $
Splash Pad Replacement - 1,000,000 -
$ 25,000 $ 1,000,000 $ - $ $ $
M
TOTAL
730,000
100,000
830,000
TOTAL
25,000
1,000,000
1,025,000
VITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGED
LEISURE SERVICES DEPARTMENT
Code: 010057
Amended
Proposed
Account
FY19/20
FY20/21
FY21/22
FY22/23
FY22/23
FY23/24
Number
Descriution
Actual
Actual
Actual
Budge
Projected
Budeet
PERSONAL SERVICES
511200
Regular Salaries
512,652
507,468
541,486
662,680
622,050
712,000
511300
Temporary Salaries
115
0
0
0
0
0
511400
Overtime
15,473
16,163
20,323
20,000
30,000
30,000
512100
FICA Taxes
39,773
38,501
41,947
52,337
50,025
56,948
512215
Clothing Allowance
1,300
1,310
1,410
1,440
1,910
2,400
512225
Deferred Compensation
42,532
42,796
45,458
57,026
54,000
61,857
512301
Group Health Insurance Premium
103,513
103,215
95,521
140,116
92,000
138,334
512309
Employee Assistance Program
181
194
184
222
180
244
512400
Worker's Comp Insurance
20,758
23,298
22,833
25,490
22,750
25,537
TOTAL PERSONALSERVICES
736,297
732,945
769,163
959,311
872,915
1,027,320
OPERATING EXPENDITURES
533400
Other Contractual Services
2,196
2,550
932
2,500
1,200
2,500
533420
Pest Control
4,481
7,048
7,861
8,000
8,000
9,000
534000
Travel and Per Diem
230
736
2,099
3,500
3,000
3,500
534101
Telephone
1,167
0
0
0
0
0
534105
Cellular Telephone
1,389
1,229
1,704
1,935
1,932
1,995
534110
Internet Services
1,577
1,311
1,355
3,840
3,400
4,680
534120
Postage
126
24
65
100
150
200
534310
Electric
66,532
68,231
75,559
91,800
84,475
88,000
534320
Water/Sewer
18,881
18,997
17,683
18,180
18,535
20,400
534380
Trash Pickup/Hauting
614
0
0
0
200
300
534400
Rents and Leases
6,795
6,795
6,795
6,795
6,795
6,795
534420
Equipment Leases
1,394
2,276
1,519
2,450
2,000
2,430
534610
R & M - Buildings
0
7,000
10,853
9,100
9,100
11,250
534615
R & M - Docks & Piers
4,979
8,389
833
2,000
2,000
2,000
534620
R & M - Vehicles
5,310
6,758
4,056
5,000
6,500
5,000
534630
R & M - Office Equipment
383
427
571
960
1,475
2,100
534640
R & M - Operating Equipment
15,079
21,898
38,460
18,000
18,000
18,000
534680
R & M - Irrigation Systems
6,350
7,961
6,950
8,500
8,500
8,500
534681
R & M - Fencing
0
0
3,033
7,000
7,000
8,000
534685
R & M - Grounds Maintenance
16,631
17,493
15,563
23,000
23,000
21,000
534686
R & M - Parks Facilities
18,202
23,525
26,705
25,000
25,000
25,000
534830
Special Event Expense
2,649
4,050
4,276
4,500
4,500
4,500
535200
Departmental Supplies
5,714
4,708
6,283
4,500
4,000
3,460
535210
Computer Supplies
554
465
171
500
650
1,000
535215
Senior Center Expenses
0
0
0
3,000
2,000
3,000
535221
Fertilizer/Chemical Supplies
8.915
9,083
7,173
10,000
10,000
12,000
535230
Small Tools and Equipment
4,931
4,793
3,003
5,030
5,030
5,500
535260
Gas and Oil
15,808
21,342
31,517
22,000
25,000
25,000
535270
Uniforms and Shoes
3,002
2,718
2,893
3,500
2,000
3,500
535275
Safety Equipment
686
1,740
2,233
3,000
2,500
3,000
535410
Dues and Memberships
1,183
1,214
3,172
3,900
3,900
4,000
535420
Books and Publications
83
0
83
100
100
100
535450
Training and Education
3,026
1,028
4,004
4,500
4,000
4,500
TOTAL OPERATING EXPENDITURES
218,871
253,790
287,401
302,190
293,942
310,210
CAPITAL OUTLAY
606200
Buildings
6,661
0
0
35,500
30,500
15,000
606300
Improvements Other Than Bldgs
28,388
0
10,090
8,500
7,000
0
606400
Vehicles and Equipment
119,805
49,059
26,240
101,870
101,870
23,000
TOTAL CAPITAL OUTLAY
154,854
49,059
36,329
145,970
139,370
38,000
TOTAL PARKS & RECREATION DIVISION
1,110,021
1,035,794
1,092,893
1,407,371
17306,227
1,375,530
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'Ii
CEMETERY DIVISION
The Cemetery Division is responsible for the maintenance, upkeep, and beautification of the Sebastian
Cemetery that encompasses 13.62 acres of grass, trees, and hedges that are under a perpetual care clause
purchased along with burial spaces by Sebastian residents. The staff is responsible for the location of burial
sites for sales, internment, assistance in locating burial spaces of family members, friends, and staff from
funeral homes and monument companies. Responsibilities also include record administration and adhering to
ordinances, rules and regulations.
FISCAL YEAR 2023 ACCOMPLISHMENTS
FISCAL YEAR 2024 GOALS AND OBJECTIVES
PERFORMANCE MEASURES
Actual
Actual
Actual
Projected
Projected
Performance Indicators
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
Cremains, including niches
39
52
50
Burials
36
39
35
(Acres of property maintained
12.06
13.62
13.62
13.62
13.62
IOperatingcost peracre maintained
$14,738
$13,142
$10,398
$12,612
$13,755
CEMETERY DIVISION PROGRAM BUDGET DESCRIPTION
STAFFING NATURE OF ACTIVITY
22123 23124
70.00% 70.00% Cemetery Grounds Maintenance - Maintain 13.62 acres of grounds through improved scheduling of
mowing, trimming, and general cleanup. Removal and trimming of unsightly trees to enhance
appearance and increase safety. Continue to apply chemicals and fertilizer to improve the overall
appearance of the Cemetery. Perform beautification projects such as planting trees and bushes to
enhance appearance.
10.00% 10.00% Public Relations - Assist with sales and locations of burial spaces and assist citizens and visitors in
locating burial spaces of family members and fiends.
10.00% 10.00% Administration - Assist in record keeping, bill processing, sales and products.
10.00% 10.00% Burials - Markings for gravediggers, policing area for ants, checking flowers, and parking cars.
100.00% 100.00%
!�r
CITY OF SEBASTIANJLORIDA 2023/2024 ANNUAL BUDGET
CEMETERY DIVISION BUDGET SUMMARY
i
The Fiscal Year 2023-2024 proposed budget for the Cemetery is $187,340. This compares to the 2022-2023 projected expenditures of $171,777,
an increase of $15,563, or 9.1%.
Amended
Projected
FY 19/20 FY 20/21 FY 21 /22
FY 22/23
FY 22/23
FY 23/24
Actual Actual Actual
Budget
Expenditures
Budget
Difference
Personal Services $ 151,633 $ 149,171 $ 112,041
$ 124,703
$ 132,282
$ 142,280
$ 9,998
Operating Expenses 26,103 29,829 28,771
39,620
39,495
45,060
5,565
Capital Outlay - - 806
-
-
-
-
Total $ 177,736 $ 179,000 $ 141,618
$ 164,323
$ 171,777
$ 187,340
$ 15,563
Fiscal Year 2023-24 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-23 Projected Expenditures
Difference
1. Personal Services - Increase due to negotiated pay increases and insurance costs.
$ 9,998
2. Operating Expenses - Increase due primarily to anticipated repair costs and replacement of small maintenance
equipment.
$ 5,565
3. Capital Outlay - No change.
$ -
PERSONAL SERVICES SCHEDULE
CE lErERYDIVISION
FULL TE%1EEQUIVALENTS
Projected
PAY
Amended
Expenditure
Budget
POSITION RANGE
21/22 22/23 22/23
23/24
22/23
23/24
Cemetery Supervisor/Sexton 42,690 / 74,708
1.00 1.00 1.00
1.00
$ 44,750
$ 48,000
Assistant Cemetery Sexton 36,877 / 64,535
1.00 1.00 1.00
1.00
39,250
41,250
On -Call $ 1.00/hr
0.00 0.00 0.00
0.00
2,500
2,500
2.00 2.00 2.00
2.00
TOTAL SALARIES
$ 86,500
$ 91,750
Overtime
5,000
5,000
FICA Taxes
7,050
7,434
Clothing Allowance
400
400
Deferred Compensation
8,275
8,744
Group Health Insurance Premium
20,025
22,444
Employee Assistance Program
32
35
Worker's Comp Insurance
5,000
6,473
Total Personal Services
$ 132,282
$ 142,280
CAPITAL OUTLAY S CHEDULE
C EtVIErERY DIVIS IO N - TO BE FUNDED BY C EIVIE ERY TRUS T FUND
EXPENDITURES PER FISCAL YEAR
Description
2023/24
2024/25 2025/26 2026/27 2027/28
TOTAL
Grounds Maintenance
$ 165,000
$ - $ - $ $ -
165,000
Zero Turn Mower
14,000
- - - 16,000
30,000
Irrigation Pump and Well
10,000
- - 40,000 -
50,000
Columbarium Niches
-
95,000 - - -
95,000
Pick -Up Truck (1/2 ton extended cab)
-
- - 40,000 -
40,000
Dump Trailer
-
- - 13,000 -
13,000
$ 189,000
$ 95,000 $ - $ 93,000 $ 16,000
$ 393,000
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET{
CEMETERY DIVISION
Code:010059
Account
Number
Description
PERSONAL
SERVICES
511200
Regular Salaries
511400
Overtime
512100
FICA Taxes
512215
Clothing Allowance
512225
Deferred Compensation
512301
Group Health Insurance Premium
512309
Employee Assistance Program
512400
Worker's Comp Insurance
TOTAL PERSONAL SERVICES
OPERATING EXPENDITURES
533400
Other Contractual Services
533420
Pest Control
534101
Telephone
534105
Cellular Telephones
534110
Internet Access
534310
Electric
534610
R & M - Buildings
534620
R & M-Vehicles
534640
R & M-Operating Equipment
534680
R & M - Irrigation Systems
534685
R & M - Grounds Maintenance
535200
Departmental Supplies
535210
Computer Supplies
535220
Cleaning Supplies
535221
Fertilizer/Chemical Supplies
535230
Small Tools and Equipment
535260
Gas and Oil
535270
Uniforms and Shoes
535275
Safety Equipment
535410
Memberships & Dues
535450
Training and Education
TOTAL
OPERATING EXPENDITURES
CAPITAL OUTLAY
606400 Vehicles and Equipment
TOTAL CAPITAL OUTLAY
TOTAL CEMETERY DIVISION
Amended
Proposed
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Actual
Actual
Actual
Budget
Proiected
Budget
104,959
107,600
71,259
80,250
86,500
91,750
2,177
2,868
4,412
4,000
5,000
5,000
7,924
8,378
5,573
6,465
7,050
7,434
240
240
240
240
400
400
9,664
9,964
6,832
7,604
8,275
8,744
20,316
13,602
18,917
20,053
20,025
22,444
32
28
32
32
32
35
6,323
6,492
4,777
6,059
5,000
6,473
151,633
149,171
112,041
124,703
132,282
142,280
1,245
0
0
0
0
0
0
0
0
4,500
5,000
6,000
1,469
1,501
586
0
0
0
50
53
42
60
45
60
863
914
1,103
1,140
1,150
1200
4,004
4,078
6,060
5,400
6,000
6,600
29
214
1,097
1,500
1,500
2,000
452
1,199
98
600
600
1,000
3,136
4,137
1,936
3,000
2,000
2,500
0
0
0
3,000
3,000
4,000
4,383
3,128
2,920
4,000
3,500
4,000
4,888
9,525
8,137
7,500
7,500
7,600
319
152
0
300
300
300
17
0
0
250
250
250
0
0
0
3,000
3,000
3,000
1,882
1,473
826
1,200
1,200
1,950
2,252
2,775
5,145
3,000
3,500
3,500
603
565
667
670
500
400
510
17
155
300
300
300
0
99
0
0
0
0
0
0
0
200
150
400
26,103
29,829
28,771
39,620
39,495
45,060
0
0
806
0
0
0
0
0
806
0
0
0
177,736
179,000
141,618
164,323
171,777
187,340
w]
r,-,ITY�6S:EBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE
COMMUNITY DEVELOPMENT DEPARTMENT
The Community Development Department provides constructive planning to facilitate quality
development. The department provides professional guidance to the City Council, the City Manager, the
Planning and Zoning Commission, as well as various boards and committees relating to planning and
growth management. The Department also provides and is a resource to the public and all city
departments for comprehensive planning, community development, redevelopment and code compliance
activities. The Department has expanded to manage Planning and Zoning, Environmental Permitting, and
Grants Coordination.
FISCAL YEAR 2023 ACCOMPLISHMENTS
✓ Initiated update to LDC in accordance with Comp Plan 2040
✓ Continue CRA Sign Master Plan implementation
✓ Continue Green Infrastructure Plan
✓ Initiated CRA Master Plan projects including Harrison Street
✓ Initiated CDBG Funding Year 3 in accordance with the 5 year Consolidated Plan
✓ Continued administration of CDBG grant
✓ Initiated expansion and funding alternatives for Working Waterfront
✓ Continued management of Planning and Zoning Board and Natural Resources Board
✓ Continued support of the City Council, Community Redevelopment Agency Board and Board of
Adjustment
✓ CDBG grant award to six single family LMI households
✓ Executed Earth Day and Arbor Day celebration with the NRB
✓ Implemented FDOT US 1 Corridor Improvement Plan design and safety improvements
✓ Continued management of various grants/programs including stormwater fee credit, vacation
rental, and septic to sewer
✓ Maintain CDD and NRB websites.
✓ Initiated GIS Map Updates resulting from annexations and Comp Plan adoption
✓ Submitted FLUM, Zoning, and City Boundary files to government agencies.
✓ Completed Stormwater Credit Program 3 year renewal process; inspected stormwater systems for
maintenance and proper functionality
✓ Continue to provide permitting and site plan assistance and approvals
✓ Completed the Community Rating System (CRS) Annual Recertification which included
maintenance of the city's Flooding and Hurricane Preparedness Website, Public Information
Outreach, and collection of data from various departments within the City.
✓ Update CRA Master Plan and Overlay Design
✓ Complete Water Use Plan for Comprehensive Plan
✓ Dispose of two public properties: Old PW compound and Harbor Lights Hotel
S3
MCITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'Il
FISCAL YEAR 2024 GOALS AND OBJECTIVES
➢ Complete Green Infrastructure Plan
➢ Continue review of Stormwater Master Plan process for incorporation of GI/LID BMP's and
regulatory Stormwater SOP's, ensuring NPDES, CRS and BMAP requirements are addressed.
➢ Continue update to LDC in accordance with Comp Plan 2040
➢ Complete CRA Sign Master Plan implementation
➢ Continue CRA Master Plan projects including Harrison Street
➢ Complete CDBG Funding Years 1- 4 in accordance with the 5 year Consolidated Plan
➢ Continue management of Planning and Zoning Board and Natural Resources Board
➢ Continue support of the City Council, Community Redevelopment Agency Board and Board of
Adjustment
➢ Initiate MGOV online permit/site plan program
➢ Continue to provide permitting and site plan assistance and approvals
➢ Continue expansion improvements and secure funding for Working Waterfront
➢ Initiate restoration of Working Waterfront facilities
➢ Continue management of various grants/programs including stormwater fee credit, vacation
rental, and septic to sewer
➢ Continue administration of Sustainable Sebastian projects and outreach
➢ Continue administration of IPM Stormwater Plan and Park Plan
➢ Initiate Stonecrop FEMA Grant Phase II
➢ Maintain CDD and NRB websites.
➢ Initiate FIND grants infrastructure improvements at waterfront
➢ Complete Coastal Resiliency Plan update
M
ITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE1j
PERFORMANCE MEASURES
(Performance Indicators
(Total Major & Minor Site Plan Reviews
(Total Major & Minor Site Plan Ai-provals
Preliminary/Final Plat Approvals
Total Temporary Permits Issued
Division of a SinL,Ie Lot/Release of Unuy of Titles
Unity- of Titles
Land Use and Zoning Change Requests
Annexation Requests/Approvals
Flood Zone Determinations/MT-1 Applications
Commercial Site Plan Inspections
Land Development Code Amendments
Conditional Use/Special Use/Accesson Structure Approvals
I Easements/Acquisitions
Variances/Appeals/Waivers
IComp, Plan/Element Changes
IStormwater Credit Program
Building Permits Zoning Reviews - Residential
Buildin Permits Zoning Inspections - Environmental
Fa;ade, Sign, and Landscape Grant
Septic to Sewer Grant
Zoning Requests Processed
Actual
Actual
Actual
Projected
Projected
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
17
21
22
30
25
6
7
2
10
5
1
2
2
4
2
29
25
30
40
40
17
19
12
30
15
36
24
12
30
15
1
6
12
8
15
0
4
4
5
5
78
261
417
300
300
29
23
35
25
25
1
3
7
10
10
3
5
8
8
6
1
1
2
2
2
5
8
3
5
4
8
1
1
0
3
44
44
45
50 1
50
193
1,131
993
1,200
1,000
597
743
840
800
800
1
1
1
1
1
13
3
2
3
0
45
56
51
60
60
PROGRAM BUDGET DESCRIPTION FOR COMMUNITY DEVELOPMENT
STAFFING
NATURE OF ACTIVITY
22123 23124
20.00% 20.00% Public Assistance - Provide planning, zoning and other regulatory information to the public and other
departments to assure that development is of the highest quality and that all development proposals are
consistent with City regulations. Provide public information to websites and updates to online forms.
30.00% 30.00% Land Develorament Code - Work with site development to provide technical review of proposed design in
accordance with City regulations. Coordinate review comments and permitting requirements from outside
agencies, public input, and direction from the Planning and Zoning Commission and City Council. Provide
Environmental reviews for site development requests. Work with special committees and taskforce groups
that may be required from time to time. Implement policy issues that Council has recommended or mandated.
15.00% 15.00% Comurehensive Planning - Manage, interpret, evaluate, update, and implement the Comprehensive Plan and
other land use, development and preservation plans for the City. Provide project management of CIP
projects and long range planning projects including annexations and intergovernmental priorities. Provide
direction and guidance for projects that have an economic development impact. Maintain position on
various committees and Boards such as the MPO. Provide presentations to various interest groups
regarding economic development and long range plans .
15.00% 15.00% Communitv Redevclonment - Implementation of stated goals within the Community Redevelopment Masten
Plan and consistent with objectives outlined by the City Council. Update and implementation to the CRA
master plan including economic development goals and opportunities.
20.001/o 20.001/o General Administrative - Research various miscellaneous topics and gather information for other agencies
and/or other departments, including staff support to the City Council, CRA Board, Planning and Zoning
Commission and Natural Resource Board.
100.00% 100.000/0
g�
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'I�
COMMUNITY DEVELOPMENT BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for Community Development is $ 769,020. This compares to the 2022-2023 projected expenditures of $ 574,673, an
increase of $194,347, or33.82%.
FY 19/20
Actual
Personal Services
$ 392,517 $
Operating Expenses
132,124
Capital Outlay
14,650
Total
$ 539,290 $
Amended
Projected
FY20/21
FY21/22
FY22/23
FY22/23
Actual
Actual
Budget
Expenditures
416,308 $
403,613
$ 581,168
$ 483,655 $
61,420
71,077
120,290
76,018
-
-
15,000
15,000
477,728 $
474,690
$ 716,458
$ 574,673 $
Fiscal Year2023-24 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-23 Projected Expenditures:
1. Personal SerHces - Increase due to having positions full all year, negotiated pay increases, and insurance costs.
2. Operating Expenses - Increase due primarily to newpemritting software and additional travel and training.
3. Capital Outlay- Increase due to office improvements requested this year.
PERSONAL SERVICES SCHEDULE
COMMUNITY DEVELOPMENT
FY23/24
Budget Difference
598,060 $ 114,405
82,460 6,442
88,500 73,500
769,020 $ 194,347
Difference
$ 114,405
$ 6,442
$ 73,500
Projected
PAY
Amended
Expenditure
Budget
POSITION
RANGE
21/22 22/23 22/23
23/24
22/23
23/24
Community Development Director/CRA Manager
84,405 / 147,710
1.00 1.00 1.00
1.00
$ 103,500
$ 108,750
Community Development Manager
54,485 / 95,348
1.00 1.00 1.00
1.00
88,250
92,500
Senior Planner
57,209/ 100,115
0.00 1.00 1.00
1.00
40,825
65,500
Planner
44,825 ! 78,443
1.00 1.00 1.00
1.00
29,000
47,250
Environmental Technician
42,690174,708
1.00 1.00 1.00
1.00
38,000
45,000
GAS Technician
42,690 / 74,708
0.00 1.00 1.00
1.00
30,500
45,000
Administrative/Zoning Technician
38,721 / 67,762
0.00 1.00 1.00
1.00
39,500
42,000
Associate Planner
1.00 0.00 0.00
0.00
-
-
5.00 7.00 7.00
7.00
TOTAL SALARIES
$ 369,575
$ 446,000
Overtime
4,500
3,500
FICA Taxes
28,625
34,387
Deferred Compensation
33,650
40,455
Clothing Allowance
200
-
Group Health Insurance Premium
46,500
72,877
Employee Assistance Program
84
122
Worker's Comp Insurance
521
719
Total Personal Services
$ 483,655
$ 598,060
(CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGED
CAPITAL OUTLAY SCHEDULE
COMIViUJ M DEVELOPMENT DEPARTMENT - TO BE FUNDED BY GENERAL FUND
Description 2023/24 2024/25 2025/26 2026-27 2027-28 TOTAL
Office Renovations $ 88,500 $ $ - $ - $ $ 88,500
$ 88,500 $ - $ - $ - $ $ 88,500
COMMUNITY DEVELOPMENT DEPARTMENT - TO BE FUNDED BY RIVERFRONT CRA
Description 2023/24 2024/25 2025/26 2026-27 2027-28 TOTAL
Working Waterfront Expansion $ 60,000 $ 250,000 $ 250,000 $ 250,000 $ - $ 810,000
N. Central Ave Catalyst Site - - - - 500,000 500,000
$ 60,000 $ 250,000 $ 250,000 $ 250,000 $ 500,000 $ 1,310,000
COMMUNITY DEVELOPMENT DEPARTMENT - TO BE FUNDED BY DIS CRETIONARY SALES TAX
Descrintion
Riverview Park Master Plan
Riverview Park Event Center
2023124 2024/25 2025/26 2026-27 2027-28
$ $ 500,000 $ 500,000 $ - $
- - - 1,000,000
$ - $ 500,000 $ 500,000 $ 1,000,000 $
COMIVIUNITYDEVELOPMENT DEPARTMENT - TO BE FUNDED BY CDBG GRANT
TOTAL
$ 1,000,000
1,000,000
$ 2,000,000
Description 2023/24 2024/25 2025/26 2026-27 2027-28 TOTAL
CDBG Grant Program $ 150,000 $ 150,000 $ 150,000 $ 150,000 $ 150,000 $ 750,000
$ 150,000 $ 150,000 $ 150,000 $ 150,000 $ 150,000 $ 750,000
g7
CITY OF SEBASTIAN, _FLORIDA 2023/2024 ANNUAL BUDGETI
COMMUNITY DEVELOPMENT DEPARTMENT
Code:010080
Account
Number
Description
PERSONAL
SERVICES
511200
Regular Salaries
511400
Overtime
512100
FICA Taxes
512215
Clothing Allowance
512225
Deferred Compensation
512301
Group Health Insurance Premium
512309
Employee Assistance Program
512400
Worker's Comp Insurance
TOTAL PERSONAL SERVICES
OPERATING EXPENDITURES
533120 Consultants
533400 Other Contractual Services
534000 Travel and Per Diem
534105 Cellular Telephone
534110 Internet Services
534120 Postage
534130 Express Mail
534420 Equipment Leases
534620 R & M-Vehicles
534630 R & M-Office Equipment
534830 Special Events (NRB)
534910 Clerk of Court Filing Fees
534920 Legal Ads
535200 Departmental Supplies
535210 Computer Supplies
535260 Gas and Oil
535270 Uniforms & Shoes
535410 Dues and Memberships
535420 Books and Publications
535450 Training and Education
TOTAL OPERATING EXPENDITURES
CAPITAL OUTLAY
606220 Building Improvements
606300 IOTB
606400 Vehicles and Equipment
TOTAL CAPITAL OUTLAY
TOTAL COMMUNITY DEVELOPMENT
FY 19/20 FY 20/21 FY 21/22
Actual Actual Actual
Amended
Proposed
FY 22/23
FY 22/23 FY 23/24
Budget
Projected Budget
301,092
323,001
310,919
426,192
369,575
446,000
4,268
2,520
5,081
4,533
4,500
3,500
23,338
24,638
23,874
32,960
28,625
34,387
120
120
120
120
200
0
26,761
29,312
28,163
38,902
33,650
40,455
36,276
36,039
34,877
77,639
46,500
72,877
75
75
74
111
84
122
586
602
504
711
521
719
392,517
416,308
403,613
581,168
483,655
598,060
110,750
33,068
39,000
58,000
50,000
50,000
3,042
2,682
5,882
32,995
10,000
13,320
139
0
1,946
2,500
2,000
3,000
248
530
161
60
5
15
433
433
433
435
433
435
635
780
1,409
800
600
800
0
0
0
0
0
0
1,964
2,230
2,197
2,230
2,195
2,195
359
1,022
70
500
700
500
2,374
2,880
2,274
2,460
1,650
1,800
1,773
1,614
1,017
2,000
2,000
2,000
0
0
0
25
0
0
2,920
2,879
10,293
8,500
500
500
1,910
6,276
2,388
1,500
1,000
1,500
1,183
2,266
320
1,500
500
.1,000
262
296
556
250
250
250
0
196
305
200
105
300
1,857
1,965
1,446
2,255
2,030
2,045
0
0
0
100
50
100
2,275
2,305
1,380
3,980
2,000
2,700
132,124
61,420
71,077
120,290
76,018
82,460
0
0
0
0
0
88,500
0
0
0
15,000
15,000
0
14,650
0
0
0
0
0
14,650
0
0
15,000
15,000
88,500
539,290
477,728
474,690
716,458
574,673
769,020
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
GENERAL FUND — NON -DEPARTMENTAL
This section of the budget includes costs not related to specific departmental service objectives
or programs. The largest category of expenditures in this budget is for payments for general
government utilities, general property and casualty liability insurance premiums and payment to
the Riverfront Community Redevelopment Agency for tax increment contributions.
NON -DEPARTMENTAL BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for Non -Departmental is $ 1,667,449. This compares to the 2022-2023 projected expenditures of $1295,628, an
increase of $ 371,821, or 28.7%.
Amended
Projected
FY19/20 FY20/21 FY21/22
FY22/23
FY22123
FY23/24
Actual Actual Actual
Budget
Expenditures
Budget
Difference
Personal Services $ 264,098 $ 275,349 $ 312,815
$ 305,431
$ 302,900 $
608,765
$ 305,865
Operating Expenses 707,675 703,732 714,666
743,079
748,194
1,058,684
310,490
Non -Operating 4,691 45,954 314,359
251,744
244,534
-
(244,534)
Total $ 976,464 $ 1,025,035 $ 1,341,840
$ 1,300,254
$ 1,295,628 $
1,667,449
$ 371,821
Fiscal Year 2023-2024 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-2023 Projected Expenditures:
Difference
1. Personal Services - Increase due primarily to organizational efficiency program and insurance costs.
$ 305,865
2. Operating D penes - Increase due primarily to insurance increases and special event expenses moved
from CRA fund.
$ 310,490
3. Non -Operating Expenses - Decrease due to completion of projects in the prior year.
$ (244,534)
O•
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE
GENERAL FUND NON -DEPARTMENTAL
Code: 010099
Amended
Proposed
Account
FY19/20
FY20/21
FY21/22
FY22/23
FY22/23
FY23/24
Number Descrim on
Actual
Actual
Actual
Budzet
Projected
Budzet
PERSONAL SERVICES
512301 Group Health Insurance
14,333
7,361
3,582
1,900
1,900
5,115
512307 Health Reimbursement Account
242,959
266,935
304,082
300,000
300,000
309,000
512500 Unemployment
6,806
1,054
5,151
3,200
1,000
2,000
512700 Additional Compensation
0
0
0
331
0
292,650
TOTALPERSONAL SERVICES
264,098
275,349
312,815
305,431
302,900
608,765
OPERATING EXPENDITURES
533100 Professional Services
24,450
28,330
57,460
33,866
500
75,000
533400 Other Contractual Services
15,153
4,528
43,435
21,850
21,850
4,000
533425 Contract Mowing Services
9,527
5,499
4,067
10,000
3,500
8,000
534101 Telephone
16,123
17,182
11,536
37,945
38,000
40,860
534110 Internet Services
2,374
1,784
1,334
1,380
1,345
1,440
534120 Postage
671
741
2,981
1,200
1,160
1,300
534310 Electric
36,848
36,042
45,386
45,840
49,750
54,600
534320 Water/Sewer
4,281
4,991
4,588
4,680
5,700
6,900
534500 Insurance
281,457
323,073
272,946
300,050
344,000
513,510
534501 Claims
78,071
4,675
11,984
15,000
10,000
15,000
534630 R&M Office Equipment
2,400
2,400
2,400
2,400
2,400
2,400
534805 4thofJuly
25,927
31,415
31,445
37,000
36,500
36,500
534815 Memorial Bricks
1,185
1,870
2,920
4,100
2,500
3,400
534825 Advertising Expenditures
309
1,125
1,125
1,125
1,244
1,300
534830 Special Events Expense
0
0
0
0
0
52,750
534835 Special Employee Events
4,815
5,963
6,285
8,000
10,112
10,000
534980 Payment-Riverfront CRA Fund
182,732
215,305
192,832
192,893
195,885
203,244
535200 Departmental Supplies
1,479
2,705
2,469
2,550
2,300
2,730
535410 Dues and Memberships
3,422
3,656
3,899
4,250
4,053
4,250
535454 PBA Tuition Reimb Plan
5,079
1,073
2,591
4,000
2,850
4,000
535455 PEA Tuition Reimb Plan
1,754
1,804
2,735
4,000
2,700
4,000
535710 Non -Ad Valorem Tax
9,617
9,571
10,246
10,950
11,845
13,500
TOTAL OPERATING EXPENSES
707,675
703,732
714,666
743,079
748,194
1,058,684
CAPITAL OUTLAY
606400 Vehicles and Equipment
0
0
0
0
0
0
TOTAL CAPITAL OUTLAY
0
0
0
0
0
0
NON -OPERATING
909131 Interfund Trfr to Fund 310
0
0
671
243,119
243,119
0
909132 Interfund Trfr to Fund 320
0
45,954
310,046
8,625
1,415
0
909140 Interfund Trfr to Fund 140
0
0
0
0
0
0
909145 Interfund Trfr to Fund 450
4,691
0
3,643
0
0
0
909901 Contingency
0
0
0
0
0
0
TOTAL NON -OPERATING
4,691
45,954
314,359
251,744
244,534
0
TOTAL NON -DEPARTMENTAL
976,464
1,025,035
1,341,840
1,300,254
1,295,628
1,667,449
OTHER FINANCING USES
909330 Unappropriated Budget Savings
0
0
0
0
0
0
TOTAL EXPENDITURES AND OTHER USES
976,464
1,025,035
1,341,840
1,300,254
1,295,628
1,667,449
CITY OF
SEEIAS-1
HOME OF PELICAN ISLAND
CITY OF SEBASTIAN, FLORIDA
AN N UAL BUDGET
FISCAL YEAR 2023-2024
SPECIAL REVENUE FUNDS
Draft as of July 7, 2023
9
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
MYOF
SEB�Yf
HOME OF PELICAN ISLAND
This Page Intentionally Left Blank
92
I CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET I
SPECIAL REVENUE FUNDS
Special Revenue Funds are used to account for the proceeds of revenue
sources (other than Major Capital Projects) that are legally required to be
spent for specific purposes. These Special Revenue Funds include the
following:
Local Option Gas Tax Fund (LOGT)
Discretionary Sales Tax Fund (DST)
Riverfront Community Redevelopment Agency
Parking In -Lieu -Of Fund
Recreation Impact Fee Fund
Stormwater Utility Fund
Law Enforcement Forfeiture Fund
TOTAL
$ 7825481
551531004
4791890
45315
3705000
2,350,437
1,300
$ 951415427
Note that the Riverfront Community Redevelopment Agency (CRA) is a
blended component unit. Its governing body is also the City Council and
this results in its budget also being approved by the City Council acting as
the CRA governing body.
y3
I CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
LOCAL OPTION GAS TAX
The local option gas tax is a six -cent per gallon tax levied by Indian River County. The tax funds are distributed to
participating cities within the County on a percentage basis determined by the City's population and amount of
annual transportation -type expenditures. The funds can be used for payment of debt service on loans and bonds
issued to finance acquisition and construction of roads, as well as road maintenance and signage. The paving loan
matures on December 1, 2022.
LOCAL OPTION GAS TAX FUND REVENUE
Code: 120010
Account
Number Descrir)tion
TAXES
312400 Local Option Gas Tax
TOTAL TAXES
MISCELLANEOUS REVENUE
334492 FDOT Lighting Agreement
361100 Interest Income
361105 SBA Interest Earnings
TOTAL MISCELLANEOUS REVENUE
NON -REVENUE SOURCES
389991 Appropriation From Fund Balance
TOTAL NON -REVENUE SOURCES
TOTAL LOCAL OPTION GAS TAX
Amended
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Actual
Actual
Actual
Budget
Proiected
Budget
686,491
741,313
742,456
777,637
738,000
763,830
686,491
741,313
742,456
777,637
738,000
763,830
13,694
14,105
14,528
14,964
14,964
15,413
1,491
503
5,106
2,479
5,345
3,238
500
0
0
0
15,685
14,608
19,634
17,443
20,309
18,651
150,709
149,760
0
356,494
434,324
0
150,709
149,760
0
356,494
434,324
0
852,884
905,680
762,090
1,151,574
1,192,633
782,481
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
LOCAL OPTION GAS TAX FUND EXPENDITURES
Code: 120051
Account
Number
Description
OPERATING
533100
Professional Services
533400
Other Contractual Services
533452
Road Maintenance Service
534315
Public Lighting
534695
Railroad Crossing Maintenance
535310
Road Materials and Supplies
535380
Signalization Supplies
TOTAL OPERATING EXPENDITURES
CAPITAL OUTLAY
606400 Vehicles and Equipment
TOTAL CAPITAL OUTLAY
DEBT SERVICE
707105 Principal - Paving Loan
707205 Interest - Paving Loan
TOTAL DEBT SERVICE
NON -OPERATING
909132 Transfer to Fund 320
909133 Transfer to Fund 330
909990 Unappropriated
TOTAL NON -OPERATING
TOTAL LOCAL OPTION GAS TAX
Amended
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Actual
Actual
Actual
Budget
Proiected
Budget
0
0
0
0
0
0
0
0
28,500
5,400
5,400
0
0
0
0
0
0
0
0
0
0
0
0
0
5,400
5,400
5,400
5,400
5,901
5,901
0
0
0
0
0
0
0
96,564
0
0
0
0
5,400
101,964
33,900
10,800
11,301
5,901
105,554
34,372
4,870
0
0
0
105,554
34,372
4,870
0
0
0
229,000
233,000
237,000
121,000
121,000
0
14,886
10,398
5,801
1,174
1,174
0
243,886
243,398
242,801
122,174
122,174
0
0
46,581
0
0
0
0
498,043
479,365
19,124
1,018,600
1,059,158
533,423
0
0
461,396
0
0
243,157
498,043
525,946
480,520
1,018,600
1,059,158
776,580
852,884
905,680
762,090
1,151,574
1,192,633
782,481
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
DISCRETIONARY SALES TAX
The discretionary sales tax is a seventh -cent or an additional one -cent tax levied by Indian River County. The
tax funds are distributed to participating cities within the County on a percentage basis determined by the City's
population. The funds can be used to finance, plan and construct infrastructure, land acquisition for recreation
or preservation, land improvement, and emergency vehicle purchases. The FY 2022-2023 allocation for the
City of Sebastian is estimated to be in the amount of $5,160,637. The estimate is based on trend analysis. This
revenue source was extended by referendum vote in FY 2016-2017 until December 31, 2034.
DISCRETIONARY SALES TAX FUND REVENUE
Code: 130010
Account Description
Number
TAXES
312600 Discretionary Sales Tax
TOTAL TAXES
MISCELLANEOUS REVENUE
361100 Interest Income
361105 SBA Interest Earnings
TOTAL MISCELLANEOUS REVENUE
NON -REVENUE SOURCES
389991 Appropriation From PY Fund Balance
TOTAL NON -REVENUE SOURCES
TOTAL DISCRETIONARY SALES TAX
Amended
FY 19/20 FY 20/21 FY 21/22 FY 22/23 FY 22/23 FY 23/24
Actual Actual Actual Bud$et Proiected Budset
3,469,568 4,037,460 4,711,995 5,160,637 4,947,000 5,120,145
3,469,568 4,037,460 4,711,995 5,160,637 4,947,000 5,120,145
60,458
33,203
35,461
96,209
20,110
19,454
7,668
1,995
3,887
2,000
21,201
13,405
68,126
35,198
39,348
98,209
41,311
32,859
0
680,344
3,229,155
3,494,254
2,380,050
0
0
680,344
3,229,155
3,494,254
2,380,050
0
3,537,694 4,753,002 7,980,498 8,753,100 7,368,361 5,153,004
I CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET I
DISCRETIONARY SALES TAX FUND EXPENDITURES
Code: 130051
Amended
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Account Description
Actual
Actual
Actual
Budget
Proiected
Budget
Number
OPERATING
533300 Engineering Services
15,487
0
0
0
0
0
TOTAL OPERATING EXPENDITURES
15,487
0
0
0
0
0
CAPITAL OUTLAY
606400 Vehicles and Equipment
0
0
0
0
0
0
606910 SidewalksBikepaths
0
17,849
7,151
0
0
0
TOTAL CAPITAL OUTLAY
0
17,849
7,151
0
0
0
NON -OPERATING
909131 Trfr to Capital Projects Fund 310
828,306
298,274
910,683
1,959,943
1,791,735
1,148,177
909132 Trfr to CIP Fund 320
268,712
413,247
20,694
77,992
352,991
50,000
909133 Trfr to Transp Impr Fund 330
721,723
3,402,826
6,060,559
2,085,401
1,574,494
1,780,163
909263 Trfr to Stormwater Debt Svs 263
401,355
400,961
220,605
0
0
0
909363 Trfr to Stormwater Impr Fund 363
0
96,908
270,513
2,728,383
2,930,505
1,227,000
909455 Trfr to Fund 455 AP
101,653
122,937
490,294
1,038,007
718,636
399,191
909990 Unappropriated
1,200,458
0
0
863,374
0
548,473
TOTAL NON -OPERATING
3,522,207
4,735,153
7,973,347
8,753,100
7,368,361
5,153,004
TOTAL DISCRETIONARY SALES TAX 3,537,694 4,753,002 7,980,498 8,753,100 7,368,361 5,153,004
9'7
I CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET I
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.
COMMUNITY REDEVELOPMENT AGENCY REVENUES
Code: 140010
Amended
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Number Descriution
Actual
Actual
Actual
Budget
Proiected
Budget
TAXES
338200 Tax Increment Revenue - Sebastian
182,732
215,305
192,832
190,290
195,885
203,244
338200 Tax Increment Revenue - County
220,508
242,367
192,832
190,290
274,075
248,196
TOTAL TAXES
403,240
457,672
385,665
380,580
469,960
451,440
MISCELLANEOUS REVENUE
361100 Interest Income
2,426
1,267
4,562
6,000
10,000
8,000
361105 SBA Interest Earnings
2,656
200
1,251
1,719
7,800
3,950
362100 Rents and Royalties
36,000
36,000
36,000
36,000
36,000
16,500
366000 Contributions & Donations
0
0
0
0
0
0
TOTAL MISCELLANEOUS REVENUE
41,082
37,467
41,813
43,719
53,800
28,450
NON -REVENUE SOURCES
381001 Transfer from General Fund
0
0
0
0
0
0
389991 Fund Balance Carried Forward
0
0
0
86,952
0
0
TOTAL NON -REVENUE SOURCES
0
0
0
86,952
0
0
TOTAL RIVERFRONT REDEVELOPMENT
444,322
495,139
427,478
511,251
523,760
479,890
I CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
COMMUNITY REDEVELOPMENT AGENCY EXPENDITURES
Code: 140051
Amended
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Number Description
Actual
Actual
Actual
Budget
Projected
BudaCt
OPERATING EXPENDITURES
533100 Professional Services
5,000
5,000
5,000
5,000
5,000
5,000
533120 Consultants
256
0
0
0
0
50,000
533200 Audit Fees
0
5,000
5,000
5,000
5,000
4,000
533201 Admin Svcs Provided by the GF
99,076
89,725
92,655
62,431
62,431
67,573
533400 Other Contractual Services
124,774
96,195
97,842
99,942
99,942
99,942
534000 Travel and Per Diem
0
0
0
500
511
1,200
534120 Postage
126
7
0
0
0
0
534400 Rents and Leases
4,217
4,302
4,429
4,950
5,145
6,000
534698 Other CRA Maintenance Expenses
0
0
11,685
10,000
10,000
12,750
534699 Maint Expenses
9,653
18,020
19,044
20,000
10,000
20,000
534830 Special Events Expense
41,210
32,125
45,369
50,000
50,000
0
534920 Legal Ads
121
279
123
300
0
300
535410 Dues & Memberships
670
795
795
795
795
795
545450 Training and Education
395
0
395
400
395
1,800
535710 Non -Ad Valorem Taxes
1,396
1,478
1,583
1,600
1,827
2,010
TOTAL OPERATING EXPENDITURES
286,894
252,927
283,921
260,918
251,046
271,370
GRANTS AND AIDS
820100 Facade/Sign Improvement Program
15,000
5,323
8,049
31,951
31,951
40,000
820200 Sewer Connection Program
24,424
0
0
5,001
5,000
0
TOTAL GRANTS AND AIDS
39,424
5,323
8,049
36,952
36,951
40,000
NON -OPERATING
909132 Interfund Trfr to CIP Fund 320
13,448
137,415
15,266
65,000
65,000
60,000
909363 Interfund Trfr to CIP Fund 363
0
36,890
34,306
0
0
0
909990 Unappropriated
104,556
62,584
85,936
148,381
170,763
108,520
TOTAL NON -OPERATING
118,004
236,889
135,508
213,381
235,763
168,520
TOTAL RIVERFRONT REDEVELOPMENT
444,322
495,139
427,478
511,251
523,760
479,890
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
PARKING IN -LIEU -OF FUND
PARKING IN -LIEU -OF FUND REVENUE
Code: 150010
Amended
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Number Description
Actual
Actual
Actual
Budget
Projected
Budget
MISCELLANEOUS REVENUE
361100 Interest Income
0
0
0
0
0
0
361105 SBA Interest Earnings
672
101
742
195
178
187
363400 Parking In -Lieu -Of Fee
3,010
11,798
16,828
344
4,128
4,128
TOTAL MISCELLANEOUS REVENUE
3,682
11,899
17,570
539
4,306
4,315
NON -REVENUE SOURCES
389991 Appropriation From PY Fund Balance
0
0
0
0
0
0
TOTAL NON -REVENUE SOURCES
0
0
0
0
0
0
TOTAL PARKING IN -LIEU -OF FUND
3,682
11,899
17,570
539
4,306
4,315
PARKING IN -LIEU -OF FUND EXPENDITURES
Code: 150051
Amended
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Number Description
Actual
Actual
Actual
Bud et
Projected
Budget
CAPITAL OUTLAY AND PROJECTS
606310 Improvements Other Than Buildings
0
0
0
0
0
0
606908 Parking
0
0
0
0
0
0
TOTAL CAPITAL OUTLAY AND PROJECTS
0
0
0
0
0
0
NON -OPERATING
909133 Transfer to CIP Fund 330
0
0
0
0
0
0
909990 Unappropriated
3,682
11,899
17,570
539
4,306
4,315
TOTAL NON -OPERATING
3,682
11,899
17,570
539
4,306
4,315
TOTAL PARKING IN -LIEU -OF FUND
3,682
11,899
17,570
539
4,306
4,315
/00
,; .... .......... ... .
:CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
STORMWATER UTILITY FUND
The Stormwater Utility Fund was established by the City to provide a dedicated funding source for the
purpose of managing the City's stormwater system, to prepare, construct and manage betterments and
improvements, regulate the use of the stormwater system, and perform routine maintenance and minor
improvements. The Stormwater Utility Fee is assessed on a single residential ERU in the amount of $10.00
per month, or $120.00 per year (Resolution R-18-19). The Stormwater Utility Staff are responsible for the
control and maintenance of the City's stormwater drainage system, consisting of 280 miles of swales, 50
miles of channels, 8.15 miles of canals and 310 catch basins, baffle boxes, and culvert structures for the
purposes of flooding prevention and water quality improvement. The Stormwater staff also enforces
compliance with Federal NPDES regulations and the City's Stormwater Management Plan for the purpose of
improving the quality of stormwater runoff prior to discharge into the St. Sebastian River and the Indian
River Lagoon.
SUMMARY OF REVENUES AND EXPENDITURES
Amended
FY 19/20 FY 20/21 FY 21/22 FY 22/23 FY 22/23 FY 23/24
Description Actual Actual Actual Budget Proiected Budget
Total Revenues
$ 1,969,428
$1,958,662
$ 2,173,692
$ 1,959,621
$ 1,966,000
$1,966,583
Total Expenses
$ 1,483,392
$ 1,616,148
$ 1,934,830
$ 2,628,980
$ 2,268,240
$ 2,350,437
Change in Unrestricted Reserves
486,036
342,514
238,861
$ (669,359)
$ (302,240)
$ (383,854)
FISCAL YEAR 2023 ACCOMPLISHMENTS
✓ Serviced and maintained 100% of the City's baffle box treatment structures each quarter
✓ Maintained City's numerous catch basins in a manner that protects water quality and ensures proper
functioning during storm events
✓ Finalize the City's Stormwater Master Plan
✓ Manage multiple Capital Improvement Projects utilizing Infrastructure Bill funds according to all of the
appropriate deadlines and regulations
✓ Continue to maintain all of the City's baffle boxes and catch basins for proper drainage and to protect water
quality
✓ Complete drainage improvements related to all roadways treated or paved in the FY2019 paving program
/01
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'11
FISCAL YEAR 2024 GOALS AND OBJECTIVES
➢ Catch up on drainage improvements for previous roadway repaving work either with additional staff or using
outside contractors
➢ Begin drainage improvements related to the 2024 roadway repaving program
➢ Utilize FieldMaps and GIS system to track all maintenance and cleaning of ditches, catch basins, baffle boxes,
etc.
➢ Continue to train staff members on Stormwater Best Management Practices as well as other necessary
trainings to ensure all are up to date on safety and technical knowledge
PERFORMANCE MEASURES
Actual
Actual
Actual
Projected
Projected
Performance Indicators
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
Miles of swales
280
280
280
280
280
linear feet of swales reconstructed
10,000
30,000
20,000
40,000
30,000
Miles of ditches maintained
70
50
80
80
80
Catch basin and culverts maintained
150
205
120
205
200
Linear feet Main Ditches reconstructed
500
2,000
160
500
5,005
Road Crossing Pipe Replacements
9
8
4
15
5
S TORMWATER UTILITY PROGRAM BUDGET DESCRIPTION
STAFFING NATURE OF ACTIVITY
22123 23124
60.00% 60.00% Drainage Maintenance - Clean and spray stormwater swales, ditches and canals. Maintain 9 miles of large
canals. Maintain ditches, swales and side yard ditches.
10.00% 10.00% Catch basins. Manholes and Culverts -Hand clean and mow small drainage ditches. Maintain 310 catch basins
and large/small culverts.
8.00% 8.00% General Administration - Preparation of budget, update service records. Maintain equipment records. Review
contracts and construction drawings on City contract work. Meet with public as necessary. Coordinate
emp loy ee training and education.
12.00% 12.00% Building Dept Related Reviews: Site Plan Review, Pool Drainage Plan Review, Fence Permits, Driveway
Permits, and meeting with engineers, contractors, and public as necessary.
10.00% 10.00% Capital Projects - Planning, Design, Specifications Consultant Coordination Bidding and Contracts,
Construction Management inspections.
100.00% 100.00%I
102
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
STORMWATER UTILITY DIVISION REVENUE
Code: 163010
Amended'
Proposed
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Number DescrhAion
Actual
Actual
Actual
Budset
Proiected
Budeet
CHARGES FOR SERVICES
363630 Stormwater Utility Fee
1,853,143
1,920,458
1,915,404
1,922,055
1,896,000
1,896,000
363631 Delinquent Stormwater Fees
59,008
32,788
36,764
30,000
30,000
30,000
TOTAL CHARGES FOR SERVICES
1,912,151
1,953,246
1,952,168
1,952,055
1,926,000
1,926,000
MISCELLANEOUS REVENUE
361100 Interest Income
12,101
4,676
17,348
7,000
30,000
30,000
361105 SBA Interest
6,244
650
4,020
566
10,000
10,583
361150 Other Interest
681
90
57
0
0
0
364100 Sale of Fixed Assets
38,250
0
0
0
0
0
369900 Miscellaneous Revenue
0
0
100
0
0
0
381360 Interf ind Transfer from Fund 363
0
0
200,000
0
0
0
TOTAL MISCELLANEOUS REVENUE
57,277
5,416
221,524
7,566
40,000
40,583
TOTAL STORMWATER REVENUES
1,969,428
1,958,662
2,173,692
1,959,621
1,966,000
1,966,583
USE OF UNRESTRICTED RESERVES
0
0
0
669,359
302,240
383,854
TOTAL STORMWATER UTILITY 1,969,428 1,958,662 2,173,692 2,628,980 2,268,240 2,350,437
STORMWATER UTILITY DIVISION BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for the Stormwater Utility Division, excluding budgeted contingency, is $ 2,350,437. This compares to the
2022-2023 projected expenditures of $ 2,268,240, an increase of $ 82,197, or 3.62%.
Amended
FY 19120
FY 20/21
FY 21/22
FY 22123
FY 22/23
FY 23/24
Actual
Actual
Actual
Budget
Projected
Budget
Difference
Personal Services
$ 654,105
$ 685,797
$ 666,255
$ 916,106
$ 764,985 $
935,725 $
170,740
Operating Expenses
613,330
790,024
1,307,889
1,307,889
1,098,270
1,239,712
141,442
Capital Outlay
186,937
123,824
139,071
43,793
43,793
10,000
(33,793)
Non -Operating
29,019
16,503
311,661
361,192
361,192
165,000
(196,192)
Total
$ 1,483,392
$ 1,616,148
$ 2,424,877
$ 2,628.980
$ 2,268,240 $
2,350,437 $
82,197
Fiscal Year 2023-24 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-23 Projected Expenditures: Difference
1. Personal Services - Increase due to having positions full all year, negotiated salary increases, and insurance costs. $ 170,740
2. Operating Ispenses - Increase due to anticipated equipment maintenance, pest control, pipes, cement, and sod costs. $ 141,442
3. Capital Outlay - Decrease due to less equipment requested thi syear. $ (33,793)
4. Non -Operating - Decrease due to fewer new projects requested this year. $ (196,192)
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGETI
PERSONAL SERVICES SCHEDULE
STORMWATER UTILITY DIVISION
FULL TIME EQUIVALENTS
Projected
PAY
Amended
Expenditures
Budget
POSITION
RANGE
21/22 22/23 22/23
23124
22/23
23124
Stormwater Superintendent
57,209 / 100,115
1.00 1.00 1.00
1.00
$ 83,850
$ 88,000
Stormwater Utility Inspector
42,690 / 74,708
1.00 1.50 1.50
1.50
51,750
77,000
Maintenance Worker III
40,657 / 71,150
3.00 3.00 3.00
3.00
129,250
137,250
Maintenance Worker II
36,877 / 64,535
2.00 3.00 3.00
3.00
95,250
122,500
Maintenance Worker I
31,200 / 54,697
8.00 5.00 5.00
5.00
116,500
167,500
Clerical Assistant I (P/T) *
$ 13.89/hr- 24.31/hr
0.50 0.50 0.00
0.00
13,100
-
15.50 14.00 13.50
13.50
* Position transferred to Roads
TOTAL SALARIES
$ 489,700
$ 592,250
during FY23
Overtime
12,500
20,000
FICA Taxes
39,050
47,313
Clothing Allowance
2,560
2,800
Deferred Compensation
44,800
53,447
Croup Health Insurance Premium
95,500
132,952
Health Reimbursement Account
27,000
28,000
Employee Assistance Program
175
227
Worker's Comp Insurance
48,050
55,286
Additional Compensation
-
3,450
Total Personal Services
$ 759,335
$ 935,725
CAPITAL OUTLAY SCHEDULE
S TORMWATER UTILITY DIVLS ION -TO BE FUNDED FROM S TORMWATER UTILITY FUND
EXPENDITURES PER FLS CAL YEAR
Description
2023/24
2024/25
2025/26
2026/27
2027/28
TOTAL
Walk Behind Concrete Saw
$
10,000
$
-
$ -
$ -
$ -
$
10,000
Sliplining
165,000
182,000
200,000
220,000
242,000
1,009,000
$
175,000
$
182,000
$ 200,000
$ 220,000
$ 242,000
$
1,019,000
S TORMWATER UTILITY DIVISION - TO BE FUNDED FROM DISCRETIONARY SALES TAX
EXPENDITURES
PER FIS CAL YEAR
Description
2023/24
2024/25
2025/26
2026/27
2027/28
TOTAL
Rubber Tire Excavator
$
375,000
$
-
$
$ -
$ -
$
375,000
Brush Truck
122,000
-
-
-
122,000
Backhoe
170,000
-
-
-
170,000
Canal Restoration
500,000
-
-
-
500,000
Stormwater Facility Pump
60,000
-
-
-
60,000
Schumann Drive
-
750,000
-
-
-
750,000
Stonecrop Upstream Drainage
-
305,000
77,500
86,250
-
468,750
Tulip Drive Crossing
-
250,000
-
-
-
250,000
Bayfront Road Crossing
-
-
250,000
-
-
250,000
Ocean Cove Drainage
-
-
-
350,000
-
350,000
$
1,227,000
$
1,305,000
$ 327,500
$ 436,250
$ -
$
375,000
/101
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGETI
STORMWATER UTILITY DIVISION EXPENDITURES
Code: 163051
Amended
Proposed
%ccount
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
;Number Description
Actual
Actual
Actual
Budeet
Proiected
BudEet
PERSONAL SERVICES
511200 Regular Salaries
422,939
439,120
425,486
568,336
495,350
592,250
511300 Temporary Salaries
11,408
0
0
O
0
0
511400 Overtime
6,412
15,338
15,577
16,000
12,500
20,000
512100 FICA Taxes
33,567
34,134
32,965
45,130
39,050
47,313
512215 Clothing Allowance
1,540
1,450
1,650
1,680
2,560
2,800
512225 Deferred Compensation
37,548
38,840
36,435
49,204
44,800
53,447
512301 Group Health Insurance Premium
83,887
90,988
85,122
142,925
95,500
132,952
512307 Health Reimbursement Account
19,242
23,989
21,117
36,000
27,000
28,000
512309 Employee Assistance Program
201
190
161
206
175
227
512400 Worker's Comp Insurance
37,362
41,748
47,742
56,377
48,050
55,286
512700 Additional Compensation
0
0
0
248
3,450
TOTAL PERSONAL SERVICES
654,105
685,797
666,255
916,106
764,985
935,725
OPERATING EXPENSES
533100 Professional Services
0
25,971
6,869
17,793
6,000
25,000
533150 Engineering Services
0
28,018
0
0
0
0
533201 Admin Svcs Provided by GF
80,555
89,345
90,989
100,088
100,088
110,097
533400 Other Contractual Services
3,121
6,543
4,693
8,620
3,000
9,505
533411 Permit Fees
0
0
0
7,988
0
0
533420 Pest/Weed Control
27,811
20,347
40,252
65,000
42,000
58,400
533425 Contract Mowing Services
246,700
328,428
421,742
622,342
622,342
607,345
534000 Travel and Per Diem
0
0
1,014
3,520
1,200
4,400
534101 Telephone
668
87
0
0
0
0
534105 Cellular Telephone
1,128
1,160
1,339
2,370
1,340
1,500
534110 Internet Services
448
231
231
960
960
1,680
534120 Postage
385
262
643
2,360
300
625
534310 Electric
9,381
6,813
12,836
8,880
7,150
7,800
534320 Water/Sewer
868
968
1,090
900
1,440
1,620
534380 Trash Pickup/Hauling
1,838
2,797
9,388
7,000
4,000
8,000
534400 Rents and Leases
3,000
0
0
0
0
0
534420 Equipment Leases
19,903
14,704
1,998
18,208
2,400
23,495
534500 Insurance
19,066
22,193
16,563
17,765
17,845
24,510
534620 R & M - Vehicles
18,015
34,664
36,894
24,062
24,000
24,000
534630 R & M - Office Equipment
99
111
142
240
220
780
534640 R & M - Operating Equpment
87,037
89,273
56,997
160,445
120,000
95,000
534920 Legal Ads
1,517
40
523
2,345
360
1,545
535200 Departmental Supplies
4,010
4,981
5,574
7,180
11,000
7,430
535210 Computer Supplies
1,356
0
81
8,700
1,200
24,570
535230 Small Tools and Equipment
2,709
3,199
3,411
5,000
4,200
4,075
535260 Gas and Oil
32,806
43,866
55,815
65,000
60,000
60,000
535270 Uniforms and Shoes
3,543
3,493
3,152
3,265
3,000
4,440
535275 Safety Equipment
2,665
600
1,689
2,900
875
3,550
535310 Road Materials & Supplies
11,304
4,546
8,908
15,000
3,600
15,000
535320 Sod
6,286
3,677
1,850
25,000
14,000
28,000
535350 Cement
4,374
4,061
3,503
18,000
10,850
21,000
535355 Culvert Pipes
19,034
46,674
24,352
68,000
32,000
50,000
535410 Membership & Professional Dues
857
1,761
295
1,488
1,400
1,500
535450 Training and Education
2,848
1,210
5,012
17,470
1,500
14,845
TOTAL OPERATING EXPENDITURES
613,330
790,024
817,843
1,307,889
1,098,270
1,239.712
CAPITAL OUTLAY
606300 IOTB
0
0
6,962
5,300
5,300
0
606400 Vehicles and Equipment
186,937
123,824
132,110
38,493
38,493
10,000
TOTAL CAPITAL OUTLAY
186,937
123,824
139,071
43,793
43,793
10,000
NON -OPERATING
909101 Interfund Transfer to Gen Fund 001
0
0
721
0
0
0
909363 Interfund Transfer to Fund 363
29,019
16,503
310,940
3619192
361,192
165,000
TOTAL NON -OPERATING
29,019
16,503
311,661
361,192
361,192
165,000
TOTAL STORMWATER UTILITY
1,483,392
1,616,148
1,934,830
2,628,980
2,268,240
2,350,437
OTHER FINANCING USES
909990 Unappropriated
486,036
342,514
238,862
0
0
0
TOTAL EXPENDITURES AND OTHER USES 1,969,428 19958,662 29173,692 2,628,980 2,268,240 2,3509437
05
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
RECREATION IMPACT FEE FUND
The Recreation Impact Fee was established to enable the City to allow growth and development to
proceed in the City in compliance with the adopted Comprehensive Plan, and to regulate growth and
development so as to require growth and development to share in the burden of growth by paying its pro
rata share for the reasonably anticipated expansion costs of the recreational system improvements.
Additionally, the City through impact fees seeks to provide an equitable, fair share basis for new and
expanded recreational facilities concurrent with the impact and needs generated by new development.
(Ordinance 0-01-15)
RECREATION IMPACT FEE FUND REVENUE
Code: 160010
Account
Number Description
MISCELLANEOUS REVENUE
361100 Interest Income
361105 SBA Interest Earnings
363270 Recreation Impact Fee
TOTAL MISCELLANEOUS REVENUE
NON -REVENUE SOURCES
389991 Appropriation From PY Fund Balance
TOTAL NON -REVENUE SOURCES
TOTAL RECREATION IMPACT FEE
Amended
FY 19/20 FY 20/21 FY 21/22 FY 22/23 FY 22/23 FY 23/24
Actual Actual Actual Budget Proiected Budget
1,460
222
2,073
10,000
17,413
16,153
1,688
56
568
3,389
3,000
2,750
143,875
214,500
179,400
150,000
179,400
179,400
147,023
214,779
182,042
163,389
199,813
198,303
333,137
0
0
173,474
30,187
171,697
333,137
0
0
173,474
30,187
171,697
480,160
214,779
182,042
336,863
230,000
370,000
RECREATION IMPACT FEE FUND EXPENDITURES
Code: 160051
Account
Number Description
CAPITAL OUTLAY AND PROJECTS
606300 Improvements Other Than Bldgs
TOTAL CAPITAL OUTLAY AND PROJECTS
OPERATING EXPENDITURES
533100 Professional Services
TOTAL OPERATING EXPENDITURES
NON -OPERATING
909132 Transfer to CIP Fund 320
909990 Unappropriated
TOTAL NON -OPERATING
TOTAL RECREATION IMPACT FEE
Amended
FY 19/20 FY 20/21 FY 21/22 FY 22/23 FY 22/23 FY 23/24
Actual Actual Actual Budget Proiected Budget
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
480,160
121,037
121,276
228,474
230,000
370,000
0
93,742
60,766
108,389
0
0
480,160
214,779
182,042
336,863
230,000
370,000
480,160
214,779
182,042
336,863
230,000
370,000
IDb
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
LAW ENFORCEMENT FORFEITURE FUND
The Law Enforcement Forfeiture Fund is established pursuant to Section 932.705 for reporting
revenues associated with seized or forfeited property by the Police Department under the Florida
Contraband Forfeiture Act as well as expenditures related to funding equipment purchases for law
enforcement purposes, matching funds for Federal Grants, and to support Drug Treatment Programs,
Drug Prevention Programs, School Resource Officer Program, Crime Prevention, or Safe
Neighborhood Programs. Expenditures are not budgeted, until individually approved by the City
LAW ENFORCEMENT FORFEITURE FUND REVENUE
Code: 190010
Account
Number Description
FINES AND FORFEITS
351200 Confiscated Property
TOTAL FINES AND FORFEITS
MISCELLANEOUS REVENUE
361100
Interest Income
361105
SBA Interest Earnings
365000
Sale of Surplus
369400
Reimbursements
369900
Other Misc. Revenue
389991
Appropriation from PY Fund Balanc
TOTAL MISCELLANEOUS REVENUE
Amended
FY 19/20 FY 20/21 FY 21/22 FY 22/23 FY 22/23 FY 23/24
Actual Actual Actual Budget Projected Budget
133
15,050
21,315
1,000
100
150
133
15,050
21,315
1,000
100
150
100
1
303
100
700
750
265
49
ill
60
350
400
1,300
0
0
0
0
0
0
0
0
0
0
0
0
1,500
1,500
0
0
0
4,274
0
0
0
0
0
5,939
1,550
1,914
160
1,050
1,150
TOTAL LAW ENFORCEMENT FORFEIT 6,072 16,600 23,229 1,160 1,150 1,300
LAW ENFORCEMENT FORFEITURE FUND EXPENDITURES
Code: 190051
Account
Number Description
OPERATING EXPENDITURES
533100 Professional Services
535380 Departmental Supplies
TOTAL OPERATING EXPENDITURES
CAPITAL OUTLAY
606400 Vehicles and Equipment
TOTAL CAPITAL OUTLAY
NON -OPERATING
708199 Other Grants & Aids
909990 Unappropriated
TOTAL NON -OPERATING
TOTAL LAW ENFORCEMENT FORFEIT
Amended
FY 19120 FY 20/21 FY 21/22 FY 22/23 FY 22/23 FY 23/24
Actual Actual Actual Budget Projected Bud et
5,072
0
3,061
0
0
0
0
1,500
0
0
0
0
5,072
1,500
3,061
0
0
0
0
15,000
0
0
0
0
0
15,000
0
0
0
0
1,000
0
0
0
0
0
0
100
20,168
1,160
1,150
1,300
1,000
100
20,168
1,160
1,150
1,300
6,072
16,600
23,229
1,160
1,150
1,300
16-7
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'11
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CITY OF SEBASTIAN, FLORIDA
ANNUAL BUDGET
FISCAL YEAR 2023-2024
DEBT SERVICE FUNDS
Draft as of July 7, 2023
107
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
DEBT SERVICE FUNDS
Debt Service Funds are used to account for the accumulation of pledged funds that are
legally restricted to pay the city's general government bonded debt obligations. These
Debt Service Funds include the following:
• Stormwater Utility Revenue Bonds/Notes Debt Service Fund
The City currently has no plan for additional debt in the coming fiscal year. Detailed
debt service payment schedules are located in the schedules section of this document.
!IO
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE1j
STORMWATER UTILITY REVENUE DEBT SERVICE FUND
This debt service fund was used to record debt service payments associated with the Stormwater
Utility Revenue Bonds, Series 2003. The stormwater utility tax backed revenue bonds were for
nineteen (19) years. The Bonds were refinanced using Bank Notes on December 18, 2013. The
outstanding debt for this fund will be $ 400,529 as of Sept 30, 2021. The debt proceeds were used to
improve the stormwater system according to the adopted stormwater master plan. The improvement
projects included Twin Ditch, Periwinkle Drive, Middle Stonecrop, and Collier Creek. It will be
totally paid with the final payment on May 1, 2022.
STORMWATER UTILITY REVENUE BONDS/NOTES DEBT SERVICE FUND REVENUE
Code: 263010
Amended
Account
FY 19/20 FY 20/21
FY21/22
FY 22/23
FY 22/23 FY 23/24
Number Description
Actual Actual
Actual
Budget
Projected Budget
MISCELLANEOUS REVENUE
361100 Interest Income
2,165 454
397
0
0 0
TOTAL MISCELLANEOUS REVENUE
2,165 454
397
0
0 0
NON -REVENUE SOURCES
381130 Interfund Trfr from 130 DST
401,355
400,961
220,605 0 0 0
389991 Appropriation from PY Fund Balance
0
0
180,832 0 0 0
TOTAL NON -REVENUE SOURCES
401,355
400,961
401,437 0 0 0
TOTAL DEBT SERVICE FUND
403,520
401,415
401,834 0 0 0
STORMWATER UTILITY REVENUE BONDS/NOTES DEBT SERVICE FUND - EXPENDITURES
Code: 263051
Amended
.Account FY 19/20 FY 20/21 FY21/22 FY 22/23 FY 22/23 FY 23/24
Dumber Description Actual Actual Actual Budget Projected Budge
DEBT SERVICE
707163 Principal - Stormwater Series 2003
382,000
387,000
395,000
0
0 0
707263 Interest - Stormwater Series 2003
20,137
13,529
6,834
0
0 0
909990 Unappropriated
1,383
887
0
0
0 0
TOTAL DEBT SERVICE
403,520
401,416
401,834
0
0 0
TOTAL DEBT SERVICE FUND
403,520
401,416
401,834
0
0 0
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET+
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ANNUAL BUDGET
FISCAL YEAR 2023-2024
ENTERPRISEFUNDS
Draft as of July 7, 2023
113
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'11
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16TY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGETi
MUNICIPAL GOLF COURSE
The Sebastian Golf Course is located in the City of Sebastian off of Main Street at the West entrance to the Airport and
provides recreational enjoyment for the citizens of Sebastian and the surrounding communities. The facility includes
an 18-hole golf course that is 6,717 yards in length and par 72, driving range, putting and chipping green, restaurant,
lounge, and fully stocked Pro Shop. The Golf Course is established as an enterprise fund of the city. The fund is
divided into three areas: Administration, Greens Division, and Carts Division.
GOLF COURSE SUMMARY OF REVENUE / EXPENSES
Amended
FY19/20
FY20/21
FY21/22
FY22/23
FY22/23
FY23/24
Descriu<ion
Actual
Actual
Actual
Budge
Projected
Budge
Total Revenues
$ 1,527,331
$ 1,499,032
$ 1,810,731
$ 1,883,185
$ 2,217,031
$ 1,938,445
Total GC Admin is tration Division
661,002
684,091
673,702
1,325,172
1,335,176
960,639
Total GC Greens Division
579,658
595,919
596,146
843,041
773,245
758,515
Total GC Carts Division
108,159
113,203
156,523
224,000
235,595
192,124
Total Expenses
1,348,818
1,393,214
1,426,371
2,392,213
2,344,016
1,911,278
Change in Unrestricted Reserves
$ 178,514
$ 105,818
$ 384,360
$ (509,028)
$ (126,985)
$ 27,167
GOLF COURSE FUND REVENUE
Code: 410010
The Fiscal Year 2023-2024 proposed budget for Golf Course fund revenue is $1,938,445. This compares to the 2022-2023 projected revenue of $ 2217,031, a decrease
of $ 278,586, or-12.57%.
FY 19/20
Description
Actual
Charges for services
$ 1,524,949 $
Non -operating revenues
2,382
Use of Unrestricted Reserves
-
Total revenues
$ 1,527,331 $
Amended
FY20/21 FY21/22 FY22/23
FY22/23
FY23/24
Actual Actual Budget
Projected
Budget
Difference
1,498,565 $ 1,806,956 $ 1,781,371
$ 1,917,657
$ 1,925245
$ 7,588
467 3,775 101,814
299,374
13200
(286,174)
- - 509,028
126,985
-
(126,985)
1,499,032 $ 1,810,731 $ 2,392,213 $ 2,344,016 $ 1,938,445 $ (405,571)
Fiscal Year 2023-24 Proposed Budget:
Major Current Level Changes from 2022-23 Projected Revenue
1. Charges for services - Increase due to additional rounds expected to be played.
2. Non -operating revenues - Decrease due to FEMA reimbursement received in the prior year.
Difference
$ 7,588
$ (286,174)
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
GOLF COURSE REVENUE
Code: 410010
Amended
FY 23/24
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
Dept
Number Descrilition
Actual
Actual
Actual
Budget
Proiected
Request
CHARGES FOR SERVICES
347501 Green Fees
502,576
492,433
614,643
611,000
671,827
675,000
347502 Cart Rentals
683,628
658,662
782,749
767,000
816,346
820,000
347510 Driving Range Fees
52,385
52,987
65,877
63,000
64,611
65,000
347512 Club Storage Fees
3,185
3,247
3,864
4,176
3,896
4,000
347513 Club Rentals Fees
2,304
2,651
3,688
3,500
3,405
3,500
347521 Membership Fees
101,928
116,149
137,196
138,000
142,223
144,000
347522 Handicap Fees
5,390
4,818
5,016
4,900
5,400
5,450
347523 Resident Card Fees
32,384
30,702
40,194
40,000
48,468
49,000
347530 Non -Taxable Sales
73
51
41
35
35
35
347540 Pro Shop Sales
101,711
94,735
111,866
110,000
123,223
125,000
362100 Rents and Royalties
30,001
30,001
30,000
30,000
30,000
30,000
369400 Reimbursements
2,834
3,258
3,776
3,600
2,149
400
369900 Other Miscellaneous Revenues
2,966
4,728
5,014
2,500
2,500
0
369941 Sales Tax Commissions
360
360
360
360
360
360
369945 Pro Lesson Fees
3,279
3,588
3,095
3,300
3,300
3,500
369995 Cash Over/Short
(54)
194
(425)
0
(86)
0
TOTAL CHARGES FOR SERVICES
1,524,949
1,498,565
1,806,956
1,781,371
1,917,657
1,925,245
NON -OPERATING REVENUE
331901 FEMA Reimbursement - Federal
0
0
0
66,405
66,405
0
334902 FFMA Reimbursement - State
0
0
0
11,067
11,067
0
361100 Interest Earnings
771
467
2,947
1,000
9,000
9,000
361105 SBA Interest
0
0
828
0
4,200
4,200
364100 Sale of Fixed Assets
1,380
0
0
0
160,360
0
365000 Sale of Surplus
231
0
0
0
0
0
369200 Insurance Proceeds
0
0
0
23,342
48,342
0
TOTAL NON -OPERATING REVENUE
2,382
467
3,775
101,814
299,374
13,200
TOTAL GOLF COURSE REVENUES
1,527,331
1,499,032
1,810,731
1,883,185
2,217,031
1,938,445
USE OF UNRESTRICTED RESERVES
0
0
0
509,028
126,985
0
TOTAL GOLF COURSESOURCES
1,527,331
1,499,032
1,810,731
2,392,213
2,344,016
1,938,445
M.
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGEI1
GOLF COURSE ADMINISTRATION
Administration is responsible for the management of the entire golf course. This includes, but is not limited to:
preparing and administering golf course budget; hiring, training and supervision of all employees; promoting the game
of golf through lessons and clinics, tournaments and league play; golf shop operations including retail marketing;
facility and clubhouse management including the restaurant, advertising and.promotions; and golf course maintenance.
This division handles all computer operations, monies, and reconciles and balances all cash operations, points of sale,
tee times and the web site.
FISCAL YEAR 2023 ACCOMPLISHMENTS
FISCAL YEAR 2024 GOALS & OBJECTIVES
1�
1�
PERFORMANCE MEASURES
I SERVICE PROGRAM
INumber of Annual Fees Sold
Single Resident
Family Resident
Resident/Discount Cards
TOTAL ANNUAL FEES SOLD
Annual Fee Rounds
Daily Fee Rounds
TOTAL NUMBER OF ROUNDS PLAYED
Actual
Actual
Actual
Projected
Projected
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
152
174
91
139
159
72
115
57
88
112
80
59
34
51
47
693
740
700
780
885
845
914
791
919
1,044
10,917
12,665
13,588
13,000
13,428
41,474
42,654
46,241
45,000
47,100
52,391
55,319
59,829
58,000
60,528
117
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGED
GOLF COURSE ADMINISTRATION PROGRAM BUDGET DESCRIPTION
STAFFING NATURE OFACTIVITY
22123 23124
30.00% 30.00% General Suner-dsion - Provide effective, responsive and professional management, direction, control of daily golf
operations, including training and forethought for innovative and practical improvements.
20.00% 20.00% Pro Shop - Provide friendly, consistent quality service to the public. The result of this direct contact combined with the
amenities offered, produces customer satisfaction.
20.00% 20.00% Control of Course Play - Provide for orderly starting of play, speed and flow of play, and prevention of free play and
abuse to golf course grounds, to enhance the enjoyment of the game as well as promoting return play.
20.00% 20.00% Golf Course Administration - Supervise all Golf Course operations, preparation of budget, supervision of capital
improvement programs.
10.00% 10.00% Promote the Game of Golf - Provide golf instruction, junior and adult clinics, golf tournaments, charity events, speaking
engagements, advertisements, and other creative measures to attract and promote return play to Sebastian Golf Course
100.00% 100.00%
GOLF COURSE ADMINISTRATION BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for Golf Course Administration, excluding budgeted contingency, is $ 960,639. This compares to the
2022-2023 projected expenses of $1,335,176, a decrease of $ 374,537, or-28.05%
Amended
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22123
FY 23/24
Actual
Actual
Actual
Budget
Projected
Budget
Difference
Personal Services
$ 280,310
$ 297,091
$ 259,508
$ 295,197
$ 276,995
$ 330,195
S 53,200
Operating Expenses
372,479
379,181
409,859
401,140
429,346
471,809
42,463
Capital Outlay
-
-
-
557,626
557,626
42,300
(515,326)
Transfers
8,213
7,819
4,335
71,209
71,209
116,335
45,126
Contingency
178,514
105,818
-
90,000
-
27,167
27,167
Total
$ 661,002
$ 684,091
$ 673,702
$ 1,325,172
$ 1,335,176
$ 987,806
$ (347,370)
Fiscal Year 2023-24 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-23 Projected Expenses:
Difference
1. Personal SerHces - Increase due to a reclass, negotiated pay increases, and insurance costs.
$ 53,200
2. Operating Expenses - Increase due primarily to insurance rate increases.
$ 42,463
3. Capital Outlay - Decrease due to golf carts purchased in prior year.
$ (515,326)
4. Transfers - Increase due to higher loan repayment amount this year.
$ 45,126
/f0
JC.1.TY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'Ij
PERSONAL SERVICES SCHEDULE
GOLF COURSEADMINISTRATION
FULL TB EEQUIVALENTS
Projected
PAY
Amended
Expense
Budget
POSITION
RANGE
21/22 22/23 22123
23124
22/23
23/24
Golf Course Director
66,857 / 117,000
1.00 1.00 1.00
1.00
$ 119,575
$ 125,500
Administrative Assistant
33,449 / 58,535
1.00 1.00 1.00
1.00
33,500
35,250
Assistant Golf Pro
35,121 / 61,462
0.50 0.50 0.50
1.00
27,000
39,250
Cashier (P/T)
$13.23/hr - $ 23.16/hr
1.50 1.50 1.50
1.50
45,000
58,000
4.00 4.00 4.00
4.50
TOTAL SALARIES
$ 225,075
$ 258,000
Overtime
2,000
2,000
Lesson Bonus
1,400
2,400
FICA Taxes
17,500
20,145
Deferred Compensation
14,000
18,518
Group Health Insurance Premium
10,900
20,022
Health Reimbursement Account
2,000
4,000
Employee Assistance Program
32
52
Worker's Comp Insurance
4,088
4,108
Additional Compensation
-
950
Total Personal Services
$ 276,995
$ 330,195
i
CAPITAL OUTLAY SCHEDULE
GOLF COURSE ADMINISTRATION - TO BE FUNDED BY GOLF COURSE FUND
EXPENDITURES PER FISCAL YEAR
Descriution 2023/24 2024/25 2025/26 2026/27 2027/28 TOTAL
Clubhouse Doors $ 35,000 $ $ $ - $ $ 35,000
Golf Shop and Office Carpet 3,800 - - 3,800
Ball Washer 3,500 $ - - 3,500
Ice Machine - - - 10,000 10,000
$ 42,300 $ - $ - $ - $ 10,000 $ 52,300
/11
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
GOLF COURSE ADMINISTRATION DIVISION
Code:410110
Amended
FY 23/24
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
Proposed
Number Description
Actual
Actual
Actual
Budget
Proiected
Bud2et
PERSONAL SERVICES:
511200 Regular Salaries
206,950
223,468
199,310
234,191
225,075
258,000
511400 Overtime
2,557
1,738
1,430
2,500
2,000
2,000
511500 Lesson Bonus
1,729
2,465
1,646
2,400
1,400
2,400
512100 FICA Takes
15,706
16,705
17,729
18,289
17,500
20,145
512225 Deferred Compensation
14,461
15,735
16,680
14,233
14,000
18,518
512301 Group Health Insurance Premium
27,076
24,145
16,547
15,158
10,900
20,022
512307 Health Reimbursement Account
8,009
8,051
1,950
4,000
2,000
4,000
512309 Employee Assistance Program
32
32
29
32
32
52
512400 Worker's Comp Insurance
3,791
4,753
4,187
4,394
4,088
4,108
512700 Additional Compensation
0
0
0
0
0
950
TOTAL PERS ONAL S ERVICES
280,310
297,091
259,508
295,197
276,995
330,195
OPERATING EXPENSES:
347541 Cost of Sales -Pro Shop
79,444
70,345
86,291
65,000
90,000
95,000
533100 Professional Services
3,302
3,270
3,762
3,400
4,400
8,600
533200 Audit Fees
3,294
3,593
2,515
3,952
3,952
4,179
533201 Admin Services provided by GF
97,185
106,065
106,065
116,672
116,672
122,296
533400 Other Contractual Services
320
200
3,106
250
250
250
533420 Pest/Weed Control
824
888
888
1,000
950
1,000
534000 Travel and Per Diem
0
0
207
0
0
0
534101 Telephone
3,883
527
130
0
0
0
534105 Cellular Telephone
352
263
270
360
120
120
534110 Internet Access
464
461
265
30
37
40
534120 Postage
78
26
14
100
45
100
534310 Electric
12,827
13,818
16,716
18,120
18,350
20,100
534320 Water/Sewer
11,992
10,840
9,182
9,300
10,380
11,400
534420 Equipment Leases
705
644
628
645
625
625
534445 Airport Property Lease
106,000
106,135
106,135
106,370
106,370
106,864
534500 Insurance
8,227
11,678
13,250
14,575
15,330
34,460
534610 R & M - Buildings
565
3,105
3,349
2,300
4,000
5,000
534630 R & M - Office Equipment
518
423
419
480
600
600
534640 R& M- Operating Equipment
0
0
50
0
0
0
534845 Golf Course Promotions
0
17
0
0
0
0
534846 Golf Course Advertising
0
0
0
0
0
0
535200 Departmental Supplies
2,294
2,293
3,361
2,700
2,525
3,000
535205 Bank Charges
31,296
33,703
42,326
43,000
43,000
45,000
535210 Computer Supplies
0
280
54
0
O
0
535220 Cleaning Supplies
2,363
3,505
3,845
5,811
4,200
5,500
535270 Uniforms and Shoes
0
0
0
0
500
500
535410 Dues and Memberships
0
512
525
525
525
575
535710 Non -Ad Valorem Tax
6,545
6,590
6,507
6,550
6,515
6,600
TOTAL OPERATING EXPENSES
372,479
379,181
409,859
401,140
429,346
471,809
CAPITAL OUTLAY:
0
606220 Building Improvements
0
0
0
0
38,800
606400 Vehicles and Equipment
0
0
0
557,626
557,626
3,500
606900 Infrastructure
0
0
0
0
0
0
TOTAL CAPITAL OUTLAY
0
0
0
557,626
557,626
42,300
NO N-OPERATING EXPENSES
909101 Interfund Tr& to 001 GF
0
0
0
35,000
35,000
80,000
909480 Interfund Trfr to 480 Bldg
8,213
7,819
4,335
36,209
36,209
36,335
TOTAL NON -OPERATING EXPENS ES
8,213
7,819
4,335
71,209
71,209
116,335
TOTAL GOLF COURSE ADMINISTRATION
661,002
684,091
673,702
1,325,172
1,335,176
960,639
OTHII2 FINANCING USES
909990 Unappropriated
178,514
105,818
0
90,000
0
27,167
TOTAL EXPENDITURES AND OTHER USES
839,516
789,909
673,702
1,415,172
1,335,176
987,806
tCITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGEI1
GOLF COURSE GREENS DIVISION
The Golf Course Greens Division is responsible for administration of an independent golf course maintenance contract
which will ensure that the overall care and quality of the golf course is compatible to maintaining high standards, thus
ensuring a quality golf course with excellent turf conditions which will guarantee repeat play from our customers, as
well as create an excellent image and respectability among the golf course community throughout the State of Florida.
FISCAL YEAR 2023 ACCOMPLISHMENTS
FISCAL YEAR 2024 GOALS AND OBJECTIVES
PERFORMANCE MEASURES
Actual
Actual
Actual
Projected
Projected
Performance Indicators
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
Greens (Acres)
4
4
4
4
4
f Tees (Acres)
4
4
4
4
4
Fairways (Acres)
22
22
22
22
22
Rough - Bermuda / Bahia (Acres)
35 / 25
35 / 25
35 / 25
35 / 25
35 / 25
Sand Bunkers (Acres)
4
4
4
4
4
Lakes and Ponds (Linear Feet)
10,000
10,000
10,000
10,000
10,000
Non -Play Area (Acres)
30
30
30
30
30
Holes Maintained
18
18
18
18
18
Practice areas (acres total)
5
5
5
5
5
GOLF COURSE GREENS PROGRAM BUDGET DESCRIPTION
STAFFING
NATURE OFACTIVITY
22123 23124
85.00% 85.00% Golf Course Maintenance - Provide administrative oversight of independent golf course maintenance
contract which provides daily turf care resulting in the quality appearance and playability of the go[(
course. Keeping the golf course in the best possible condition throughout the year adds to the enjoyment
of the customers and insures return play.
15.00% 15.00% Eauinment Maintenance - Continue tracking equipment use and repair to insure proper maintenance and
availability of equipment.
100.00% 100.000/0
121
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
GOLF COURSE GREENS DIVISION BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for Golf Course Greens Division is $ 758,515. This compares to the 2022-2023 projected
expenses of $ 773,245, a decrease of $ 14,730, or -1.9%.
Amended
FY 19/20 FY 20/21 FY 21/22
FY 22/23
FY 22/23
FY 23/24
Actual Actual Actual
Budget
Projected
Budget
Difference
Operating Expenses $ 579,658 $ 582,490 $ 596,146 $
688,569 $
684,419
$ 708,515
$ 24,096
Capital Outlay - 13,429 -
154,472
88,826
50,000
(38,826)
Non -Operating - - -
-
-
-
Total $ 579,658 $ 595,919 $ 596,146 $
843,041 $
773,245
$ 758,515
$ (14,730)
Fiscal Year 2023-24 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-23 Projected Expenses:
Difference
1. Operating Expenses - Increase due primarily to contractual increase in maintenance
contract.
$ 24,096
2. Capital Outlay - Decrease due to netting project completed in the prior year.
$ (38,826)
3. Non -Operating - No change.
$
GOLF COURSE GREENS DIVISION
Code: 410120
Account
Number
Description
OPERATING EXPENSES
533420
Pest/Weed Control
533445
Groundskeeping Service
534310
Electric
534610
R & M - Buildings
534640
R & M - Operating Equipment
534680
R & M - Irrigation Systems
534685
R & M - Grounds Maintenance
535200
Departmental Supplies
TOTAL OPERATING EXPENSES
CAPITAL OUTLAY
606300 Improvements Other Than Buildings
606400 Vehicles and Equipment
606900 Infrastructure
TOTAL CAPITAL OUTLAY
TOTAL GREENS DIVISION
Amended
FY 23/24
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
Proposed
Actual
Actual
Actual
Budget
Projected
Budget
120
120
120
120
120
120
557,313
557,313
568,460
649,554
649,554
662,545
12,053
14,290
19,048
20,400
16,250
17,100
0
0
388
1,000
1,000
1,000
82
0
0
0
0
0
7216
7,880
7,760
9,745
9,745
20,000
2,798
2,637
370
7,500
7,500
7,500
75
250
0
250
250
250
579,658 582,490 596,146 688,569 684,419 708,515
0 0
0 154,472
88,826
0
0 13,429
0 0
0
0
0 0
0 0
0
50,000
0 13,429
0 154,472
88,826
50,000
579,658 595,919 596,146 843,041 773,245 758,515
CAPrfAL OUTLAY SCHEDULE
GOLF COURSE GREENS DIVISION - TO BE FUNDED FROM GOLF CO URSE O PERATIO NS
EXPENDITURES PER FISCAL YEAR
Description 2023/24 2024/25 2025/2.6 2026/27 2027/28 TOTAL
Bunker Renovations $ 50,000 $ 50,000 $ 50,000 $ 50,000 $ 50,000 S 250,000
$ 50,000 $ 50,000 $ 50,000 $ 50,000 $ 50,000 S 250,000
ITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE
GOLF COURSE CARTS DIVISION
The Golf Course Carts Division many times provides the first and last contact with customers. They maintain golf
carts in operational and clean condition for customers, service driving range and water station, maintain and clean all
surrounding areas including the cart barn, cart staging area, cart wash area, starter station, locker room and driving
range. Facilitates preventative maintenance on golf carts including battery checks, greasing and tire pressure.
FISCAL YEAR 2023 ACCOMPLISHMENTS
FISCAL YEAR 2024 GOALS AND OBJECTIVES
PERFORMANCE MEASURES
Actual
Actual
Actual
Projected
Projected
Performance Indicators
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
Electric Golf Carts
80
80
80
80
80
Tires Maintained
324
324
324
324
324
Grease Fittings Maintained
324
324
324
324
324
Range Carts
1
1
1
1
1
Ranger Carts
0
0
0
0
0
Batteries Maintained
481
481
481
481
481
Beverage Carts
0
0
0
0
0
GOLF COURSE CARTS DIVISION PROGRAM BUDGET DESCRIPTION
STAFFING
NATURE OFACTIVPTY
22123 23124
30.00% 30.00% General Maintenance and Care of Golf Carts - Clean and maintain golf carts in operational condition for guests use and maintain
operational cart barn.
30.00% 30.00% Golf Course Facilities - Maintenance and care of Cart Barn, Driving Range, Water Station, and general area around Golf Shop and
starter area.
40.00% 40.00% Customer Service - Provide unsurpassed customer service to our members.
100.00% 100.00%
!23
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET+
GOLF COURSE CARTS DIVISION BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for Golf Course Carts Division is $ 192,124. This
compares to the 2022-2023 projected expenses
of $ 235,595, a decrease of $
43,471, or-18.45%.
Amended
FY19/20
FY20/21
FY21/22
FY22J23
FY22J23
FY23/24
Actual
Actual
Actual
Budget
Projected
Budget
Difference
Personal Services
$ 99,041
$ 107,828
$ 143,091
$ 148,190
$ 154,435
$ 161,430
$ 6,995
Operating Expenses
1,108
2,587
12,542
75,810
81,160
30,694
(50,466)
Capital Outlay
3,716
-
-
-
-
-
Debt Service
4,294
2,789
890
-
-
-
Total
$ 108,159
$ 113,203
$ 156,523
$ 224,000
$ 235,595
$ 192,124
$ (43,471)
Fiscal Year 2023-24 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-23 Projected Expenses: Difference
1. Personal Services - Increase due to negotiated pay increases. $ 6,995
2. Operating Expenses - Decrease due to reduction in golf cart repairs needed. $ (50,466)
3. Capital Outlay - No change. $
4. Debt Service - No change. $
PERSONAL SERVICES SCHEDULE
GOLF COURSE CARTS DIVISION
POSITION
Cart Attendants (P/T) *
PAY
RANGE
$ 12.00/hr - $ 21.00/hr
FULL ME EQUIVALENTS
Amended
21/22 22/23 22/23 23/24
5.00 5.00 5.00 5.00
5.00 5.00 5.00 5.00
Projected
Expense Budget
22/23 23/24
$ 136,000 $ 142,500
TOTAL SALARIES $ 136,000 $ 142,500
* (5) P/T Cart Attendants Overtime 5,500 4,800
equals (10) positions FICA Taxes 10,825 11.308
Worker's Compensation 2,110 2,322
Additional Compensation 0 500
Total Personal Services $ 154,435 $ 161,430
12y
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
GOLF COURSE CARTS DIVISION
Code:410130
Account
Number
Description
PERSONAL
SERVICES
511200
Regular Salaries
511400
Overtime
512100
FICA Taxes
512400
Worker's Comp Insurance
512700
Additional Compensation
TOTAL PERSONAL SERVICES
OPERATING EXPENSES
533400
Other Contractual Services
533420
Pest/Weed Control
534610
R & M - Buildings
534640
R & M-Operating Equipment
535200
Departmental Supplies
535220
Cleaning Supplies
535230
Small Tools and Equipment
TOTAL
OPERATING EXPENSES
CAPITAL OUTLAY
606400 Vehicles and Equipment
TOTAL CAPITAL OUTLAY
NON -OPERATING EXPENSES
707145 Principal - Golf Course Loan
707245 Interest - Golf Course Loan
TOTAL NON -OPERATING EXPENSES
TOTAL CARTS DIVISION
Amended
FY 23/24
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
Proposed
Actual
Actual
Actual
Budget
Projected
Budget
86,967
95,198
125,785
130,500
136,000
142,500
3,486
3,284
5,287
4,800
5,500
4,800
7,060
7,528
9,941
10,352
10,825
11,308
1,528
1,817
2,077
2,538
2,110
2,322
0
0
0
0
0
500
99,041
107,828
143,091
148,190
154,435
161,430
0
0
0
0
7,200
26,800
144
144
144
144
144
144
41
823
503
4,000
2,000
2,000
783
1,501
11,614
71,316
71,316
750
140
108
190
250
400
500
0
11
92
100
100
200
0
0
0
0
0
300
1,108
2,587
12,542
75,810
81,160
30,694
3,716
0
0
0
0
0
3,716
0
0
0
0
0
0
0
0
0
0
0
4,294
2,789
890
0
0
0
4,294
2,789
890
0
0
0
108,159 113,203 156,523 224,000 235,595 192,124
12.s
!C'ITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE1i
CRY OF
HOME OF PELICAN ISLAND
This Page Intentionally Left Blank
12b
CITY OF SEBASTIAN, FLORIDA 2023l2024 ANNUAL BUDGED
MUNICIPAL AIRPORT
City of Sebastian operates a 625 acre municipal airport through the establishment of an enterprise fund. The airport
property was deeded to the city in 1959 by the federal government. The main source of revenue to support the airport
operations is lease revenue. The airport receives federal and state government grants to fund airport capital projects,
which are accounted in the city's capital improvement fund. Since the year 2000, the Airport has been involved in over
$10 million in capital improvements, all of which to better develop the facilities and economic growth.
Descrintlon
Total Revenues
FY19/20 FY20/21 FY21/22
Actual Actual Actual
Amended
FY22/23
Bu et
FY22/23 FY23/24
Projected Budge
$ 593,366 $ 579,785 $ 619,561 $ 696,506 $ 736,874 $ 758,570
Total Airport Administration
$
398,338
$
520,947
$
480,585
$
682,466
$
689,176
$
857,232
Change in Unrestricted Reserves
$
195,028
$
58,838
$
138,976
$
14,040
$
47,698
$
(98,662)
AIRPORT FUND REVENUE
Code:450010
The Fiscal Year 2023-2024 proposed budget for Airport fund revenue is $ 758,570. This compares to the 2022-2023 projected Airport fund revenue of
$736,874, an increase of $ 21,696, or 2.9%.
Amended
FY19/20 FY20/21
FY21/22
FY22/23
FY22/23
FY23/24
Description Actual Actual
Actual
Budget
Pro.iected
Budget
Difference
Operating revenue $ 535,141 $ 557,469 $
577,585
$ 639,830
$ 651,660
$ 723,940
$ 72,280
Non -operating revenues 58,225 22,316
41,977
56,676
85,214
34,630
(50,584)-
UseofUnrestricted Reserves - -
-
-
-
98,662
98$2
Total revenues and other sources $ 593,366 $ 579,785 $
619,561
$ 696,506
$ 736,874
$ 857,232
$ 120,358
Fiscal Year 2023-24 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-23 Projected Revenue:
Difference
1.Operating revenue - Increase due to contractual rent increases and new lease for Hangar D.
$ 72,280
2. Non -operating revenues - Decrease due to FEMA reimbursement expected in prior year
and sale of a large piece of equipment.
$ (50,584)1
12-7
ICITY''OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
AIRPORT REVENUE
Code: 450010
Account
Number
Description
OPERATING REVENUE
362150
Nontaxable Rents
362100
Rents and Royalties
369900
Other Miscellaneous Revenues
369941
Sales Tax Commission
TOTAL OPERATING REVENUE
OTHER NON -OPERATING REVENUE:
331451
FAA Federal Grant
331901
FEMA Federal Reimbursement
334902
FEMA State Reimbursement
361100
Interest Earnings
361105
SBA Interest
364100
Sale of Fixed Assets
365000
Sale of Surplus Materials/Scrap
366000
Contributions & Donations
369400
Reimbursements
381001
Transfer from Fund 001 GF
TOTAL OTHER NON -OPERATING REVENUE
TOTAL AIRPORT REVENUES
USE OF UNRESTRICTED RESERVES
TOTAL AIRPORT SOURCES
Amended Proposed
FY 19/20 FY 20/21 FY 21/22 FY 22/23 FY 22/23 FY 23/24
Actual Actual Actual Budget Proiected Budget
119,371
119,506
119,506
176,601
176,600
177,095
354,203
375,889
396,056
401,260
413,765
485,540
61,294
61,792
61,761
61,689
61,020
61,030
273
282
261
280
275
275
535,141
557,469
577,585
639,830
651,660
723,940
30,000
0
0
0
0
0
0
0
0
27,626
27,626
0
0
0
0
4,604
4,604
0
2,939
869
(290)
725
6,450
6,750
0
0
1,042
0
3,750
4,000
2,945
0
1,825
0
0
0
0
0
11,834
0
18,934
0
0
0
0
0
0
0
17,649
21,447
23,922
23,721
23,850
23,880
4,691
0
3,643
0
0
0
58,225
22,316
41,977
56,676
85,214
34,630
593,366
579,785
619,561
696,506
736,874
758,570
0
0
0
0
0
98,662
593,366
579,785
619,561
696,506
736,874
857,232
MCITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
AIRPORT ADMINISTRATION
The Airport Director is responsible for Airport Operations to include maintenance of the entire property (excluding
Golf Course), FDOT compliance issues, Capital Improvement Programs, tenant relations, and project management.
FISCAL YEAR 2023 ACCOMPLISHMENTS
FISCAL YEAR 2024 GOALS AND OBJECTIVES
PERFORMANCE MEASURES
Actual
Actual
Actual
Projected
Projected
Performance Indicators
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
Acres Available for Development
105
103
85
85
85
Airport Leasehold Revenues
$473,574
$495,395
$515,562
$590,365
$606,835
JCITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'Ij
AIRPORT PROGRAM BUDGET DESCRIPTION
STAFFING NATURE OF ACTIVITY
22123 23124
20.00% 20.00% Corm,+lance - Conduct operations at the Airport in accordance with FAA and FDOT compliance.
20.00% 30.00% Capital 1mprovement Project Execution and Monitoring - Execute and monitor Capital Improvement Projects.
Prepare and submit a Five -Year Capital Improvement Program in accordance with Regulations. Prepare and
apply for Florida Department of Transportation Airport Improvement Grants for Capital Improvement Projects
and equipment.
20.00% 20.00% Tenant and Public Relations - Monitor and execute Tenant Lease agreements. Provide dispute resolution
regarding airport regulations. Maintain contact with Airport users and citizens, respond to questions and
complaints and provide information to all parties about rules, regulations and airport information.
40.00% 30.00% Airport Maintenance - Mow Airport, herbicide runways and taxiways, maintain runway lighting system
Supervise runway maintenance and Scrub Jay mitigation/Habitat Conservation Area. Clear and maintain
runway approaches and perform daily Airport inspections.
1 100.00% 100.00%
AIRPORT BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for the Municipal Airport Administration, excluding budgeted contingency, is $ 857,232. This
compares to the 2022-2023 projected expenses of $ 689,176, an increase of $168,056, or 24.39%.
Amended
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Actual
Actual
Actual
Budget
Projected
Budget
Difference
Personal Services
$ 70,760
$ 62,692
$ 130,481
$ 188,735
$ 187,480
$ 202,810
$ 15,330
Operating Expenses
256,032
277,935
295,521
334,190
342,176
491,468
149,292
Capital Outlay
50,070
9,205
29,043
46,334
46,313
115,000
68,687
Debt Service
21,477
21,116
20,740
36,500
36,500
38,500
2,000
Non -Operating
-
150,000
4,800
76,707
76,707
9,454
(67,253)
Contingency
195,028
58,838
138,976
14,040
47,698
-
(47,698)
Total
$ 593,366
$ 579,785
$ 619,561
$ 696,506
$ 736,874
$ 857,232
$ 120,358
Fiscal Year 2023-24 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-23 Projected Expenses: Difference
1. Personal Services - Increase due to negotiated salary and insurance increases. $ 15,330
2. Operating Egxnses - Increase due primarily to anticipated increases in property and liability insurance. $ 149,292
3. Capital Outlay - Increase due to larger equipment requested this year. $ 68,687
4. Debt Service - Slight increase due to repayment schedule. $ 2,000
5. Non Operating - Decrease due to smallerproject requested this year. $ (67,253)
30
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'Ii
PERSONAL SERVICES SCHEDULE
AIRPORT ADMINISTRATION
FULL TIME EQUIVALENTS
PAY
Amended
POSITION
RANGE
21/22 22/23 22/23
23/24
Airport Manager
63,073 / 110,377
1.00 1.00 1.00
1.00
Facilities/Airport Maintenance Worker II
36,877 / 64,535
1.00 1.00 1.00
1.00
Airport Maintenance Worker I (P/T)
$ 15.00/hr - $ 26.30/hr
0.50 0.50 0.50
0.50
2.50 2.50 2.50
2.50
TOTAL SALARIES
Overtime
FICA Taxes
Clothing Allowance
Deferred Compensation
Group Health Insurance Premium
Health Reimbursement Account
Employee Assistance Program
Worker's Comp Insurance
Additional Compensation
Total Personal Services
CAPITAL OUTLAY SCHEDULE
AIRPORT - TO BE FUNDED BY DISCRETIONARY SALES TAX
Projected
Expense
Budget
22/23
23/24
$ 66,950
$ 70,500
38,750
41,250
18,750
20,500
124,450 $
1,000
9,623
400
9,625
31,525
8,000
32
2,825
187,480 $
EXPENDITURES, PER FISCAL YEAR
Description
2023/24
2024/25 2025/26
2026/27 2027/28
Rehab Runway 05-23
85,191
- -
- -
Construct Square Hangars
314,000
- -
- -
Taxiway Golf Design
-
43,100 -
- -
Taxiway Golf Construction
-
197,520 197,520
- -
Construct Shade Hangar
-
- 260,000
- -
Taxiway Alpha Reconstruction
-
- 45,000
- -
TenninalApron Expansion
-
- -
240,000 -
Design NW Airport Access
-
- -
50,000 -
Construct NW Airport Access
-
- -
- 600,000
$ 399,191
$ 240,620 $ 502,520
$ 290,000 $ 600,000 $
AIRPORT - TO BE FUNDED BY AIRPORT FUND
132,250
1,000
10,268
400
10,233
35,064
8,000
35
5,010
550
202,810
TOTAL
85,191
314,000
43,100
395,040
260,000
45,000
240,000
50,000
600,000
2,032,331
EXPENDITURES PER FISCAL YEAR
Description
2023/24
2024/25 2025/26 2026/27 2027/28
TOTAL
Tractor Mower
$ 80,000
$ - $ - $ - $ -
$ 80,000
Runway 10-28 Markings
9,454
- - - -
9,454
15' Bush Hog Deck Mower
35,000
- - - -
35,000
Zero Turn Mower
-
9,000 - - -
9,000
Mower Deck
-
- 30,000 - -
30,000
Airport Wash Rack
-
- 25,000 - -
25,000
Airport Equipment Shelter
-
- - 10,000 -
10,000
Backhoe Loader
-
- - - 65,000
65,000
$ 124,454
$ 9,000 $ 55,000 $ 10,000 $ 65,000
$ 263,454
ICITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
AIRPORT ADMINISTRATION
Code: 450110
Account
Number
Descriution
PERSONAL
SERVICES
511200
Regular Salaries
511400
Overtime
512100
FICA Taxes
512215
Clothing Allowance
512225
Deferred Compensation
512301
Group Health Insurance Premium
512307
Health Reimbursement Account
512309
Employee Assistance Program
512400
Worker's Comp Insurance
512700
Additional Compensation
TOTAL PERSONAL SERVICES
OPERATING EXPENSES
533200
Audit Fees
533201
Admin Services provided by GF
533400
Other Contractual Services
535410
Environmental Services
533420
Pest/Weed Control
534000
Travel and Per Diem
534101
Telephone
534105
Cellular Phone
534110
Internet Access
534120
Postage
534130
Express Mail
534310
Electric
534320
Water/Sewer
534420
Equipment Leases
534500
Insurance
534610
R & M - Buildings
534620
R & M -Vehicles
534625
R & M - Lighting
534630
R & M - Office Equipment
534635
R & M - Security Systems
534640
R & M - Operating Equipment
534681
R & M - Fencing
534685
R & M - Grounds Maintenance
534687
R & M - Runways and Taxiways
534700
Printing and Binding
534800
Promotional Activities
534825
Advertising Expenditures
534920
Legal Ads
Amended
FY 23/24
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
Proposed
Actual
Actual
Actual
Budget
Proiected
Budget
51,294
44,613
88,219
123,250
124,450
132,250
388
0
112
1,000
1,000
1,000
3,925
3,452
6,013
9,524
9,623
10,268
240
260
240
240
400
400
2,979
2,900
5,186
9,506
9,625
10,233
7,173
6,425
21,765
31,558
31,525
35,064
2,317
2,377
6,652
8,000
8,000
8,000
18
16
21
32
32
35
2,425
2,648
2,273
5,625
2,825
5,010
0
0
0
0
0
550
70,760
62,692
130,481
188,735
187,480
202,810
1,002
1,136
725
1,137
1,137
6,251
93.485
116,866
104,041
98,374
98,374
105,057
21,071
20,911
25,237
25,235
28,500
31,000
0
0
0
3,984
3,984
0
1,704
1,704
2,027
2,600
2,600
2,700
398
1,258
5,000
2,500
500
1,500
2,415
2,513
5,928
5,400
6,560
6,600
609
557
665
1,020
1,165
1,200
880
1,499
1,599
1,630
1,665
1,725
225
114
48
100
75
100
26
0
0
0
0
0
22,596
20,582
25,097
24,600
23,175
25,500
4,450
3,184
3,837
3.600
5,255
5,400
101
0
118
1,000
0
1,000
47,363
50,703
67,107
75,635
90,217
204,545
8,845
2,800
3,607
15,000
14,000
15,000
654
507
1,252
4,000
2,000
4,000
8,279
4,454
1,350
6,000
4,000
6,000
0
0
0
1,000
400
500
2,526
4,270
6,137
6,892
6,000
6,000
23,499
27,224
17,085
25,000
25,000
35,000
0
584
1,402
3,000
2,500
3,000
1,641
317
776
1,500
1,500
1,700
1,825
1,740
1,554
1,008
1,008
2,500
0
0
0
200
100
200
14
0
798
500
200
500
0
454
215
900
0
500
0
445
209
500
500
500
- Continued -
132,
jCftY_0F SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGETI
Account
Number
Description
535200
Departmental Supplies
535210
Computer Supplies
535230
Small Tools and Equipment
535260
Gas and Oil
535270
Uniforms & Shoes
535275
Safety Equipment
535410
Dues and Memberships
535420
Books and Publications
535450
Training and Education
535710
Non -Ad Valorem Tax
TOTAL OPERATING EXPENSES:
CAPITAL OUTLAY:
606200
Buildings
606300
IOTB
606400
Vehicles and Equipment
TOTAL CAPITAL OUTLAY:
DEBT SERVICE
707246
Interest - DST Fund Advance
TOTAL DEBT SERVICE:
NON -OPERATING EXPENSES
909545
Intrafund Tr& to AP Capital
TOTAL NON -OPERATING EXPENSES
TOTAL AIRPORT ADMINISTRATION
OTHER FINANCING USES
909990 Unappropriated
TOTAL EXPENDITURES AND OTHER USES
Amended
FY 23/24
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
Proposed
Actual
Actual
Actual
Budget
Proiected
Budget
1,817
1,743
2,892
2,500
3,000
3,000
471
42
156
500
500
500
375
1,502
1,854
3,500
3,500
3,700
4,376
4,143
9,100
8,000
8,000
8,000
642
599
650
925
700
700
135
108
170
300
300
300
449
449
330
450
400
400
0
0
0
200
100
200
140
1,272
0
900
0
900
4,020
4,256
4,557
4,600
5,261
5,790
256,032
277,935
295,521
334,190
342,176
491,468
0
0
0
0
0
0
10,516
0
0
36,834
36,834
0
39,554
9,205
29,043
9,500
9,479
115,000
50,070
9,205
29,043
46,334
46,313
115,000
21,477
21,116
20,740
36,500
36,500
38,500
21,477
21,116
20,740
36,500
36,500
38,500
0
150,000
4,800
76,707
76,707
9,454
0
150,000
4,800
76,707
76,707
9,454
398,338
520,947
480,585
682,466
689,176
857,232
195,028
58,838
138,976
14,040
47,698
0
593,366
579,785
619,561
696,506
736,874
857,232
153
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
CnvoF
HOME OF PELICAN ISLAND
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JCITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGE'11
BUILDING DEPARTMENT
The Building Department is an enterprise operation of the City. The major source of revenue is building permit fees.
These have shown some growth over the past couple of years. Operating revenues are sufficient to cover necessary
operation and maintenance expenses.
Description
Total Revenues and Transfers
Total Expenses
Amended
FY19/20 FY20/21 FY21/22 FY22/23 FY22/23 FY23/24
Actual Actual Actual Bute Proiected Bu et
$ 953,492 $ 1,388,506 $ 1,278,084 $ 1,311,998 $ 1,075,059 $ 1,148,485
746,911 814,164 954,193 1,466,807 1,175,261 1,331,274
Change in Unrestricted Reserves $ 206,581 $ 574,342 $ 323,891 $ (154,809) $ (100,202) $ (182,789)
BUILDING DEPARTMENT REVENUE
Code:480010
The Fiscal Year 2023-2024 proposed budget for the Building Department fund revenue is $ 1,148,485. This compares to the 2022-2023 projected Building
Department fund revenue of $1,075,059, an increase of $ 73,426 or 6.83%.
Amended
FY19/20
FY20/21
FY21/22
FY22/23
FY22/23
FY23/24
Description
Actual
Actual
Actual
Budget
Projected
Budget
Difference
Operating revenue
$ 935,726
$ 1,367,477
$ 1,254,688
$ 1,268,500
$ 999,350
$ 1,072,150
$ 72,800
Non -operating revenues
17,766
21,029
23,395
43,498
75,709
76,335
626
Use of Unrestricted Reserves
-
-
-
154,809
100202
182,789
82,587
Total revenues and other sources
$ 953,492
$ 1,388,506
$ 1,278,084
$ 1,466,807
$ 1,175,261
$ 1,331,274
$ 156,013
Fiscal Year2023-2024 Proposed Budget:
Major Current Level Changes from Fiscal Year 2022-2023 Projected Revenue:
1. Operating revenue - Increase due to anticipated increase in general building permits.
2. Non -operating revenues - Increase due to contractual loan repayment from Golf Course.
155"
Difference
$ 72,800
$ 626
11CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET]
BUILDING DEPARTMENT REVENUE
Code: 480010
Account
Amended
Proposed
Number
Description
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
OPERATING REVENUE
Actual
Actual
Actual
Budget
Projected
Budget
321050
Contractor License
11,288
12,088
7,856
13,500
8,000
9,000
321150
Contractor License - Penalties
1,812
2,645
1,570
2,500
1,000
1,200
322050
Building Permits
459,038
699,490
606,840
650,000
450,000
500,000
322052
Fire Special Events
1,600
960
1,440
1,400
1,450
1,450
322055
Roofing Permits
101,785
166,420
190,950
175,000
180,000
178,000
322065
Alumimum Structure
20,050
25,325
21,450
25,000
16,000
18,000
322070
Shed Permits
9,750
9,000
8,175
8,000
4,500
5,000
322075
Reinspection Fees
28,405
36,400
49,675
45,000
40,000
45,000
322100
Land Clearing Permits
125
0
0
0
0
0
322200
Electrical Permits
56,117
66,868
55,119
55,000
40,000
46,000
322225
Plumbing Permits
45,917
60,025
71,077
62,000
70,000
67,000
322230
Pool Permits
19,425
26,730
26,370
30,000
19,500
21,000
322240
Solar Permits
5,100
12,075
14,850
11,500
13,500
14,000
322250
Mechanical Permits
64,367
76,193
70,713
60,000
53,000
56,000
322300
Fencing Permits
23,925
20,250
0
0
0
0
322500
Sign Permits
2,210
2,880
1,845
2,100
1,350
1,500
322600
Expired Permit Fee
7,575
22,650
17,325
20,000
17,300
17,500
329400
Plan Checking Fees
48,784
83,727
67,979
65,000
59,000
61,500
329410
Fire Plan Review Fee
4,061
5,136
4,346
3,500
1,500
2,000
341920
Cert. Copying/Record Research
4,232
5,754
6,504
7,000
4,000
4,500
347556
County Facility Admin Fee
13,863
27,661
23,769
26,500
14,000
18,000
359000
Other Fines and Forfeitures
6,298
5,200
6,836
5,000
5,000
5,000
359100
Fire Violations
0
0
0
500
250
500
TOTAL OPERATING REVENUE
935,726
1,367,477
1,254,688
1,268,500
999,350
1,072,150
OTHER NON -OPERATING REVENUE:
361100 Interest Income
4,791
2,343
12,471
3,000
25,000
25,000
361105 SBA Interest Earnings
2,649
366
3,532
1,089
12,000
12,000
369400 Reimbursements
0
7,330
0
0
0
0
369900 Other Miscellaneous Revenue
2,112
3,171
3,057
3,200
2,500
3,000
381410 Interfund Transfer from 410 GC
8,213
7,819
4,335
36,209
36,209
36,335
TOTAL OTHER NON -OPERATING REVENUE
17,766
21,029
23,395
43,498
75,709
76,335
TOTAL BUILDING DEPARTMENT REVENUES
953,492
1,388,506
1,278,084
1,311,998
1,075,059
1,148,485
USE OF UNRESTRICTED RESERVES
0
0
0
154,809
100,202
182,789
TOTAL BUILDING DEPARTMENT SOURCES
953,492
1,388,506
1478,084
1,466,807
1,175,261
1,331,274
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET]
BUILDING DEPARTMENT
The Building Department effectively and progressively promotes and provides professional plans review, permitting
and inspection of building construction to ensure a safe built environment for the City of Sebastian. This is facilitated
through the intake of permit requests for building and land improvements. The permit application and plans are tracked
through plan review, fees are calculated and permits are issued when plans are fully approved. Field inspections are
scheduled, performed and recorded daily. Upon completion of inspections, a Certificate of Occupancy is issued. The
Building Department enforces all state and local codes that pertain to the construction industry including Fire
Prevention and Protection.
Contractor licensing, checks and administers the registration of licensed contractors who work in the City of Sebastian.
Licensees are sent annual renewal notices. Returned renewal notices are processed and licensees are sent new
registrations.
Checks and administers business tax receipt requests for those who conduct business in the City of Sebastian. Business
owners are sent annual renewal notices. Returned renewal notices are processed and new Business Tax Receipts are
sent to business owners.
FISCAL YEAR 2023 ACCOMPLISHMENTS
✓ Maintained timeliness and delivery of permitting services with a turnaround time of 15 days or less for most
permits.
✓ Provided continuing education for employees to meet minimum state licensing requirements. Customer service
training is ongoing
✓ Monitored Compliance Engine for the maintenance of Fire and Life Safety Systems. Followed up on any
deficiencies reported. Continued to conduct annual fire inspections on occupied buildings, with a focus on
buildings containing high occupant loads and/or Fire and Life safety systems.
✓ Improvements to MGO permitting system by implementing new version called MGO Connect. Providing new
branding for the on-line customer portal with improved functionality.
✓ Front counter renovation completed providing accessible seating, replaced carpet throughout Building and
Growth Management departments and provided a safer work environment.
✓ Continued to enforce state and city ordinances regarding unlicensed contractor activity and willful code
violations.
✓ Continue to scan documents to completed permits, existing property files and business tax receipts for safe
record keeping.
FISCAL YEAR 2024 GOALS AND OBJECTIVES
➢ Continue to maintain timeliness and delivery of permitting services with a turnaround time of 15 days or less
for most projects.
➢ Provide building and fire code related continuing education to satisfy minimum state licensing requirements
and provide ongoing customer service training.
➢ Continue to use Compliance Engine program to monitor Fire and Life Safety Systems and continue to conduct
annual fire inspections of occupied buildings.
➢ Continue improvements to the MGO permitting software to have all permit types available to be submitted
through the on-line portal.
➢ Continue to enforce state laws and city ordinances related to construction industry, unlicensed contractor
activity and code violations.
➢ Continue to scan completed permits, property files and business tax receipts for safe record keeping.
137
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGETI
PERFORMANCE MEASURES
Actual
Actual
Actual
Projected
Projected
Performance Indicators
2019/2020
2020/2021
2021/2022
2022/2023
2023/2024
Residential permits issued
586
782
652
750
575
Conmiercial permits issued
27
16
23
20
18
Otherpermitsissued
2,907
3,164
3,427
3,200
3,400
Total number of inspections
10,197
14,332
17,857
16,500
15,750
ITotal number ofreinspections
1,950
2,992
3,608
3,500
3,100
(Number of Professional licenses processed
140
280
358
250
365
Expired pemrits processed
101
302
231
325
115
(Business Tax Receipts processed and issued
1893
1631
1228
1300
1275
BUILDING DEPARTMENT PROGRAM BUDGET DESCRIPTION
STAFFING NATURE OF ACTIVITY
22123 23124
8.00% 8.00% Administration - The Director supervises the enforcement of all Florida Building Codes, including Sebastian City
and Land Development Codes related to construction. Courtesy inspections are performed as needed. Reviews
commercial plan review and projects that include Mechanical, Electrical or Plumbing details. Approval of all
department expenditures and prepares the annual budget.
21.00% 21.00% Permitting - Accepts permit applications, calculates fees, issuance of permits, scheduling of inspections, closing,
out permits when completed, prepares certificates of occupancy for signature, and answers questions concerning
building permits.
21.00% 21.00% Plan Review - Perfoms plan review of all permit applications and building plans for code approval, including
structural, electrical, plumbing and mechanical. Also includes the review of all zoning on residential building
applications. Answers code questions for builders and general public related to plan review.
40.00% 40.00% Building and Alteration Inspection - On -site inspections for commercial and residential, including structural,
electrical, plumbing, and mechanical. Post inspections into computer database daily. Answer code questions for
builders and general public related to inspections.
3.00% 3.00% Contractor Licensing - Accepts contractor license application for registration and calculates fees. Review
applicants for applicable insurance and workman's comp. coverages. Review letters of reciprocity. Process annual
re-newal notices and issues new registrations. Check permit applications for properly licensed and insured
contractors.
3.00% 3.00% Business Tax Receipts- Accepts applications for Business Tax Receipt from business owners. Reviews
applications for acceptance. Verify professional licenses and ficitious/corporation names. Process annual re-newal
notices and issues new Business Tax Reciepts.
3.00% 3.00% Safety - Annual fire inspections at places of business as required by NFPA and following up on expired permits
and unsafe structures.
j 1.00% 1.00% Records Retention - Scanning plans to laserfiche and MGO for permanent record keeping
100.00% 100.00%
139
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGED
BUILDING DEPARTMENT BUDGET SUMMARY
The Fiscal Year 2023-2024 proposed budget for the Building Department, excluding budgeted contingency, is $ 1,331,274. This compares to the projected FY 2022-2023
expenses of $ 1,175,261, an increase of $ 156,013, or 13.27%.
Amended
i
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
FY 23/24
Actual
Actual
Actual
Budget
Projected
Budget
Difference
Personal Services
$ 607,069 $
631,113
$ 715,665
$ 941,787
$ 793,935 $
1,058,880
$ 264,945
Operating Expenses
135,889
160,093
238,328
338,146
193,591
242,394
$ 48,803
Capital Outlay
3,952
22,957
-
186,874
187,735
30,000
$ (157,735)
Transfers
-
-
200
-
-
-
$
Contingency
206,581
574,342
323,891
39,877
-
-
$
Total
$ 953,492 $
1,388,506
$ 1,278,084
$ 1,506,684
$ 1,175,261 $
1,331,274
$ 156:013
Fiscal Year 2023-24 Proposed Budget
Major Current Level Changes from Fiscal Year 2022-23 Projected Expenses
Difference
1. Personal Services - Increase due to the
addition of one new position, having
positions full all year, and negotiated salary and insurance increases.
$
264,945
2.Operating Fxpenses - Increase due primarily to anticipated need for additional contractual services.
$
48,803
3. Capital Outlay - Decrease due to project completed in the prior year.
$
(157,735)
4. Transfers -No change.
$
PERSONAL SERVICES SCHEDULE
BLU DING DEPARTMENT
FULL TIME EQUIVALENTS
Projected
PAY
Amended
Expense
Budget
POSITION
RANGE
21/22 22/23
22/23
23124
22/23
23/24
Building Official
84,405 / 147,710
1.00 1.00
1.00
1.00
$ 135,100
$
143,250
Deputy Building Official
63,073 / 110,377
1.00 1.00
1.00
1.00
94,500
100,000
Chief Building Inspector
51,890 / 90,808
1.00 1.00
1.00
1.00
78,700
82,500
Plans Examiner
49,419 / 86,483
0.00 1.00
0.00
0.00
-
-
Building Inspector II
49,419 / 86,483
2.00 2.00
2.00
3.00
95,000
176,500
Administrative Assistant
33,449 / 58,535
1.00 1.00
1.00
1.00
40,000
42,250
Local Business Tax Specialist
31,200 / 54,697
1.00 1.00
1.00
1.00
63,500
65,500
Permitting Technician
31,200 / 54,697
1.00 2.00
2.00
2.00
35,000
70,000
Fire Inspector P/T
$ 19.55/hr - $ 34.21
0.50 0.50
1.00
1.00
18,000
41,250
Electrical Inspector Ur
$ 19.55/hr - $ 34.21
0.50 0.50
0.50
0.50
2,500
5,000
Clerical Assistant I P/T
$ 13.89/hr - $ 24.31/hr
0.50 0.50
0.50
0.50
19,725
19,750
9.50 11.50
11.00
12.00
TOTAL SALAR1iES
$ 582,025
$
746,000
Overtime
1,000
2,000
FICA Taxes
44,750
57,529
Clothing Allowance
1,455
1,800
Deferred Compensation
49,000
61,884
Group Health Insurance Premium
88,250
140,609
Health Reimbursement Account
17,000
32,000
Employee Assistance Program
115
174
Worker's Comp Insurance
10,340
14,684
Additional Compensation
-
2,200
Total Personal Services
$ 793,935
$
1,058,880
CAPITAL OUTLAY SCHEDULE
BUILDING DEPARTMENT - TO BE FUNDED BY THE BUILDING DEPARTMENT FUND
EXPENDITURES PER FISCAL YEAR
Description 2023/24 2024/25 2025/26 2026/27 2027-28 TOTAL
Pick -Up Truck $ 30,000 $ - $ - $ - $ - $ 30,000
$ 30,000 $ - $ - $ - $ - $ 30,000
1
139
CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
BUILDING DEPARTMENT
Code: 480110
Amended FY 23/24
Account
FY 19/20
FY 20/21
FY 21/22
FY 22/23
FY 22/23
Proposed
Number
Descriotion
Actual
Actual
Actual
Budget
Proiected
Budget
PERSONAL
SERVICES
511200
Regular Salaries
460,072
473,476
525,827
661,847
582,025
746,000
511400
Overtime
1,909
3,175
732
2,000
1,000
2,000
512100
FICA Taxes
33,550
35,746
38,103
51,045
44,750
57,529
512215
Clothing Allowance
480
670
720
960
1,455
1,800
512225
Deferred Compensation
39,190
41,121
44,683
57,610
49,000
61,884
512301
Group Health Insurance Premium
53,975
56,865
74,830
120,840
88,250
140,609
512307
Health Reimbursement Account
10,846
10,460
20,614
34,000
17,000
32,000
512309
Employee Assistance Program
95
104
111
158
115
174
512400
Worker's Comp Insurance
6,951
9,496
10,046
12,869
10,340
14,684
512700
Additional Compensation
0
0
0
458
0
2,200
TOTAL PERSONAL SERVICES
607,069
631,113
715,665
941,787
793,935
1,058,880
OPERATING
EXPENSES
533200
Audit Fees
1,554
1,974
1,380
2,171
2,171
2,388
533201
Administrative Services Provided by GF
49,665
54,632
60,095
66,105
66,105
72,716
533400
Other Contractual Services
27,324
36,074
119,711
197,890
60,000
91,150
534000
Travel and Per Diem
155
569
582
3,000
1,750
2,000
534101
Telephone
419
429
173
0
0
0
534105
Cellular Telephone
2,188
2,087
1,940
2,400
2,475
3,000
534110
Internet Services
1,837
1,562
1,113
1,500
1,385
1,560
534120
Postage
1,343
945
1,084
1,000
800
1,000
534310
Electric
2,726
3,075
3,512
3,960
4,250
4,800
534320
Water / Sewer
292
323
315
360
360
420
534420
Equipment Leases
2,235
2,608
2,573
2,610
2,565
2,565
534500
Insurance
8,545
10,861
5,986
6,590
8,510
9,365
534620
R & M - Vehicles
1,701
3,460
2,865
6,000
2,500
4,000
534630
R & M - Office Equipment
24,206
25,171
23,381
24,060
23,720
23,780
534800
Promotional Activities
0
0
0
1,800
1,000
1,500
534910
Clerk of Court Filing Fees
29
29
147
100
50
75
534920
Legal Ads
0
142
217
0
0
100
535200
Departmental Supplies
1,065
983
1,867
3,600
3,300
2,000
535210
Computer Supplies
3,672
2,548
1,023
1,800
1,500
2,800
535230
Small Tools and Equipment
46
570
111
450
530
450
535260
Gas and Oil
4,071
4,811
7,420
8,400
6,800
7,750
535270
Uniforms and Shoes
545
496
844
1,000
920
1,100
535275
Safety Equipment
0
0
65
100
50
100
535410
Dues and Memberships
815
887
977
950
1,300
3,075
535420
Books and Publications
151
2,856
0
500
350
2,900
535450
Training and Education
1,306
3,003
947
1,800
1,200
1,800
TOTAL
OPERATING EXPENSES
135,889
160,093
238,328
338,146
193,591
242,394
CAPITAL OUTLAY
606220
Building Improvements
0
0
0
186,874
187,735
0
606400
Vehicles and Equipment
3,952
22,957
0
0
0
30,000
TOTAL
CAPITAL OUTLAY
3,952
22,957
0
186,874
187,735
30,000
NON -OPERATING EXPENSES
909101
Transfer to General Fund
0
0
200
0
0
0
909131
Transfer to Fund 310
0
0
0
0
0
0
TOTAL
NON -OPERATING EXPENSES
0
0
200
0
0
0
TOTAL BUILDING DEPARTMENT
746,911
814,164
954,193
1,466,807
1,175,261
1,331,274
OTHER FINANCING USES
909990
Unappropriated
206,581
574,342
323,891
39,877
0
0
TOTAL EXPENDITURES AND OTHER USES
953,492
1,388,506
1,278,084
1,506,684
1,175,261
1,331,274
NO
LA
SEBAS 1
HOME OF PELICAN ISLAND
CITY OF SEBASTIAN, FLORIDA
ANNUAL BUDGET
FISCAL YEAR 2023-2024
CAPITAL IMPROVEMENT
PROGRAM
Draft as of July 7, 2023
01
{,ist of Proiects
General Government
Vx Rail Lease Payments
City Wide Computers
COSty Equipment
Network Infrastructure
Core and Remote Switches
Security Cameras
Sidewalk Assurance System
Cyber Security Features
Public Works Compound Firewall
Police Department
Police Vehicles
Vehicle/Body Cameras
CAD/RMS System Update
Road Patrol Equipment
Indoor Firearms Range
Investigations Equipment
Community Development
Working Waterfront Expansion
Central Avenue Catalyst Site
CDBG Grant Program
Riverview Park Master Plan
Riverview Park Event Center
Community Development Offices
Roads Department
Pavement Grinder
Vinyl Printer
Enclosed Trailer
Street Repaving
Street Reconstruction
Sidewalk Replacement
Traffic Analyzers (2)
Air Compressor Jack Hammer
Sign Shop Truck
Facilities Maintenance Division
Facilities Maintenance Vehicles
Air Conditioner Replacement
Roof Replacements
Senior Center Roof Replacement
Art Center Roofing
Cemetery Division
Cemetery Equipment
Cemetery Vehicle
Cemetery Irrigation Pump
Columbarium Niches
Cemetery Grounds Maintenance
Leisure Services Department
Maintenance Equipment
Parks Division Vehicles
Parks Maintenance Shed
Splash Pad Replacement
Friendship Park Baseball Field
Playground Improvements
Park Improvements
Stormwater Department
Rubber Tire Excavator
Walk Behind Concrete Saw
Brush Truck
Backhoe
Slip Lining/Pipe Replacement
Stormwater Facility Pump
Schumann Drive
Canal Restoration
Stonecrop Upstream Drainage
Tulip Drive Road Crossing
Bayfront Road Crossing
Ocean Cove Drainage
Golf Course Fund
Golf Clubhouse Doors
Golf Shop Carpet
Golf Bunker Renovations
Golf Maintenance Equipment
Airport Fund
Airport Maintenance Equipment
Airport Backhoe Loader
Airport Tractor/Mower Deck
Aircraft Wash Rack
Airport Equipment Shelter
Construct Shade Hangar
Construct Square Hangars
Runway 10-28 Markings
Runway 05-23 Rehabilitation
Design Taxiway Golf
Construct Taxiway Golf
Design Taxiway Bravo Rehab
Reconstruct Alpha Apron
Terminal Apron Expansion
Design NW Airport Access
Construct NW Airport Access
Building Fund
Building Department Truck
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2023-2028
JMMARY OF
CAPITAL PURCHASES AND
IMPROVEMENTS
FY 2023-24
FY 2024-25
TY 2025-26
FY 2026-27
FY 2027-28
43,195
45,355
45,355
45,355
45,355
45,000
35,000
45,000
35,000
45,000
15,000
15,000
15,000
15,000
15,000
30,000
30,000
30,000
30,000
30,000
60,000
-
-
-
-
30,000
50,000
30,000
75,000
-
-
-
-
620,431
485,383
373,152
391,809
411,400
88,776
88,776
93,776
93,776
93,776
60,775
60,775
60,775
60,775
60,775
29,260
34,800
8,500
8,500
8,500
5,000,000
-
-
11,500
-
-
120,000
500,000
500,000
500,000
-
-
-
-
500,000
150,000
150,000
150,000
150,000
150, 000
-
500,000
500,000
-
-
-
-
-
1,000,000
88,500
-
-
22,000
-
6,000
-
8,000
533,423
1,099,840
772,192
569,552
392,611
1,780,163
1,209,768
801,028
1,017,818
1,614,132
75,000
75,000
75,000
75,000
75,000
3,500
-
-
-
-
28,400
-
75,000
63,000
-
-
45,000
-
25,000
30,000
30,000
35,000
35,000
17,000
-
-
-
-
60,000
-
-
30,000
-
-
14,000
13,000
16,000
-
-
40,000
-
10,000
40,000
-
95,000
-
165,000
-
-
-
23,000
12,000
28,000
22,000
-
40,000
-
-
15,000
-
1,000,000
25,000
350,000
60,000
120,000
120,000
80,000
20,000
20,000
20,000
20,000
20,000
375,000
-
-
10,000
-
122,000
-
170,000
-
165,000
182,000
200,000
220,000
242,000
60,000
-
-
-
750,000
11,500,000
-
-
-
-
1,220,000
310,000
345,000
-
250,000
-
-
-
-
250,000
-
-
350,000
FY 2028-29
45,355
35,000
15,000
30,000
431,970
93,776
60,775
8,500
150,000
417,500
1,670,000
75,000
40,000
30,000
20,000
266,000
35,000
-
3,800
50,000
50,000
50,000
50,000 50,000 50,000
3,500
-
-
- - -
35,000
9,000
-
-
-
-
65,000
80,000
30,000
-
-
125,000
-
50,000
-
1,300,000
-
1,570,000
-
47,270
1,703,823
-
215,500
-
-
987,600
987,600
-
-
-
-
230,000
-
225,000
- -
-
-
1,200,000
-
250,000
-
- 3,000,000
30,000
Totals
269,969
240,000
90,000
180,000
60,000
30,000
50,000
30,000
75,000
2,714,145
552,656
364,650
98,060
5,000,000
11,500
1,620,000
500,000
900,000
1,000,000
1,000,000
88,500
22,000
6,000
8,000
3,785,118
8,092,909
450,000
3,500
28,400
75,000
108,000
195,000
17,000
60,000
30,000
43,000
40,000
50,000
95,000
165,000
115,000
40,000
15,000
1,000,000
25,000
730,000
120,000
375,000
10,000
122,000
170,000
1,275,000
60,000
750,000
11,500,000
1,875,000
250,000
250,000
350,000
35,000
3,800
300,000
3,500
44,000
65,000
110,000
125,000
50,000
1,300,000
1,570,000
47,270
1,703,823
215,500
1,975,200
230,000
225,000
1,200,000
250,000
3,000,000
30,000
Totals $ 25,826,316 $ 9,280,797 $ 7,117,378 $ 6,798,585 $ 6,971,549 $ 3,668,876 $ 59,663,500
Grouped by Department
General Government
Police Department
Roads Department
Public Facilities Department
Leisure Services
Community Development
Stormwater
Golf Course
Airport
Building
Total by Departments
Grouped by Function
General Government
Public Safety
Transportation
Parks & Recreation
Physical Environment
Total by Functions
Grouoed by Fundinq Source
General Fund
DST
LOGT
Recreation Impact Fees
Riverfront CRA
Stormwater Fund
Golf Course
Airport
Building Fund
Cemetery Trust
Grants/Loans
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2023-2028
SUMMARY OF CAPITAL IMPROVEMENT PROJECTS
FY 2023-24 FY 2024-25 FY 2025-26 FY 2026-27 FY 2027-28 FY 2028-29 Total
$ 378,195
$ 125,355
$ 135,355
$ 125,355
$ 135,355
$ 125,355
$ 1,024,969
5,810,742
669,734
536,203
554,860
574,451
595,021
8,741,011
2,531,486
2,384,608
1,648,220
1,662,370
2,081,743
2,162,500
12,470,927
354,000
155,000
30,000
173,000
51,000
40,000
803,000
433,000
1,132,000
140,000
168,000
122,000
50,000
2,045,000
358,500
1,150,000
1,150,000
1,650,000
650,000
150,000
5,108,500
12,402,000
2,402,000
760,000
915,000
242,000
266,000
16,987,000
92,300
50,000
50,000
50,000
50,000
50,000
342,300
3,436,093
1,212,100
2,667,600
1,500,000
3,065,000
230,000
12,110,793
30,000
-
-
-
-
-
30,000
$ 25,826,316 $ 9,280,797 $ 7,117,378 $ 6,798,585 $ 6,971,549 $ 3,668,876 $ 59,663,500
$ 736,695 $ 1,275,355 $ 1,285,355 $ 1,775,355 $ 785,355 $ 275,365 $ 6,133,469
5,840,742
669,734
536,203
554,860
574,451
595,021
8,771,011
6,321,579
3,751,708
4,345,820
3,335,370
5,197,743
2,432,500
25,384,720
525,300
1,182,000
190,000
218,000
172,000
100,000
2,387,300
12,402,000
2,402,000
760,000
915,000
242,000
266,000
16,987,000
$ 25,826,316 $ 9,280,797 $ 7,117,378 $ 6,798,585 $ 6,971,549 $ 3,668,876 $ 59,663,500
$ 525,160
$ 191,800
$ 83,500
$ 156,500
$ 105,500
$ 113,500
$ 1,175,960
4,604,531
5,045,677
2,824,106
3,450,783
2,950,437
2,433,376
21,308,909
533,423
1,099,840
772,192
569,552
392,611
417,500
3,785,118
370,000
80,000
140,000
140,000
100,000
20,000
850,000
60,000
250,000
250,000
250,000
500,000
-
1,310,000
175,000
182,000
200,000
220,000
242,000
266,000
1,285,000
92,300
50,000
50,000
50,000
50,000
50,000
342,300
124,454
9,000
55,000
(90,000)
65,000
-
163,454
30,000
30,000
189,000
95,000
-
93,000
16,000
-
393,000
19,122,448
2,277,480
2,742,580
1,958,750
2,550,000
368,500
29,019,758
Total Funding Sources $ 25,826,316 $ 9,280,797 $ 7,117,378 $ 6,798,585 $ 6,971,549 $ 3,668,876 $ 59,663,500
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-29
CAPITAL IMPROVEMENT PROGRAM
BY FUNDING SOURCE
Local Community Recreation
General Option Redevelopment Impact Stormwater Cemetery Grants/
Fund Gas Tax DST Atlency Fees Fund Trust Private Funds
FISCAL YEAR 2023/2024
General Government
Vx Rail Lease Payments
43,195
City Wide Computers
45,000
COSty Equipment
15,000
Network Infrastructure
30,000
Core and Remote Switches
60,000
Security Cameras
30,000
Sidewalk Assurance System
50,000
Cyber Security Features
30,000
Public Works Compound Firewall
75,000
Police Department
Police Vehicles
620,431
Vehicle/Body Cameras
88,776
CAD/RMS System Update
60,775
Road Patrol Equipment
29,260
Indoor Firearms Range
Investigations Equipment
11,500
Community Development
Working Waterfront Expansion
CDBG Grant Program
Community Development 01
88,500
Roads Department
Pavement Grinder
22,000
Vinyl Printer
6,000
Enclosed Trailer
8,000
Street Repaving
533,423
Street Reconstruction
1,780,163
Sidewalk Replacement
75,000
Traffic Analyzers (2)
3,500
Air Compressor Jack Hamn
28,400
Sign Shop Truck
75,000
Facilities Maintenance Division
Facilities Maintenance Vehic
63,000
Air Conditioner Replacement
25,000
Roof Replacements
17,000
Senior Center Roof Replace
60,000
Cemetery
Cemetery Equipment
Cemetery Irrigation Pump
Cemetery Grounds Maintenance
Leisure Services Department
Maintenance Equipment
23,000
Parks Maintenance Shed
15,000
Friendship Park Baseball Field
25,000
Playground Improvements
Park Improvements
Stormwater
Rubber Tire Excavator
375.000
Walk Behind Concrete Saw
Brush Truck
122,000
Backhoe
170,000
Slip Lining/Pipe Replacement
Stormwater Facility Pump
60,000
Canal Restoration
500,000
Golf Course
Golf Clubhouse Doors
Golf Shop Carpet
Golf Bunker Renovations
Golf Maintenance Equipment
Airport
Airport Maintenance Equipment
Airport Tractor/Mower Deck
Construct Square Hangars
314,000
Runway 10-28 Markings
Runway05-23 Rehabilitation
85,191
Building
Building Department Truck
Total FY 2023/2024 $ 525,160 $
533,423 $ 4,604,531 $
60,000
350,000
20,000
10,000
165,000
14,000
10,000
165,000
5,000,000
60,000
150,000
Golf Airport Building
Fund Fund Fund Total
11,000,000
35,000
3,800
50,000
3,500
35,000
80,000
1,256,000
37,816
9,454
1,618,632
43,195
45,000
15,000
30,000
60,000
30,000
50,000
30,000
75,000
620,431
88,776
60,775
29,260
5,000,000
11,500
120,000
150,000
88,500
22,000
6,000
8,000
533,423
1,780,163
75,000
3,500
28,400
75,000
63,000
25,000
17,000
60,000
14,000
10,000
165,000
23,000
15,000
25,000
350,000
20,000
375,000
10,000
122,000
170,000
165,000
60,000
11,500,000
35,000
3,800
50,000
3,500
35,000
80,000
1,570,000
47,270
1,703,823
30,000 30,000
60,000 $ 370,000 $ 175,000 $ 189,000 $ 19,122,448 $ 92,300 $ 124,454 $ 30,000 $ 25,826,316
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-29
CAPITAL IMPROVEMENT PROGRAM
BY FUNDING SOURCE
Local Community Recreation American
General Option Redevelopment Impact Stormwater Cemetery Grants/ Golf Airport Rescue
Fund Gas Tax DST Asiencv Fees Fund Trust Bank Note Course Fund Plan Total
FISCAL YEAR 2024/2025
General Government
Vx Rail Lease Payments
45,355
45,355
City Wide Computers
35,000
35,000
COSty Equipment
15,000
15,000
Network Infrastructure
30,000
30,000
Police Department
Police Vehicles
485,383
485.383
Vehicle/Body Cameras
88,776
88,776
CAD/RMS System Update
60,775
60,775
Road Patrol Equipment
34,800
34,800
Community Development
Working Waterfront Expansion
250,000 260,000
500,000
CDBG Grant Program
150,000
150,0D0
Riverview Park Master Plan
500,000
500,000
Roads Department
Street Repaving
1,099,840
1.099,840
Street Reconstruction
1,209,768
1.209,768
Sidewalk Replacement
75,000
75,000
Public Facilities Department
Air Conditioner Replacement
30,000
30,000
Art Center Roofing
30,000
30,000
Cemetery
Columbarium Niches
95,000
95,000
Leisure Services Department
Maintenance Equipment
12,000
12,000
Parks Division Vehicles
40,000
40,000
Splash Pad Replacement
1.000.000
1,000,000
Playground Improvements
60,000
60,000
Park Improvements
20,000
20,000
Stormwater
Slip Lining/Pipe Replacement
182,000
la2,000
Schumann Drive
750,000
750,000
Stonecrop Upstream Drainage
305,000
915,000
1,220,000
Tulip Drive Road Crossing
250,000
250,000
Golf Course
Golf Bunker Renovations
50,000
50,000
Airport
Airport Maintenance Equipment
9,000
9,000
Design Taxiway Golf
43,100
172,400
215.500
Construct Taxiway Golf
197,520
790,080
987,600
Total FY 2024/2025 $
191,800 $ 1,099,840 $
5,045,677 $
260,000 $ 80,000 $ 182,000 $ 95,000 $ 2,277,480 $ 50,000 $ 9,000 $
- $ 9,280.797
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-29
CAPITAL IMPROVEMENT PROGRAM
BY FUNDING SOURCE
Local Community Recreation
General Option Redevelopment Impact Stormwater Cemetery Grants/
Fund Gas Tax DST Agency Fees Fund Trust Bank Note
FISCAL YEAR 2025/2026
General Government
Vx Rail Lease Payments
45,355
City Wide Computers
45,000
COSty Equipment
15,000
Network Infrastructure
30,000
Police Department
Police Vehicles
373,152
Vehicle/Body Cameras
93,776
CAD/RMS System Update
60,775
Road Patrol Equipment 8,500
Community Development
Working Waterfront Expansion
CDBG Grant Program
Riverview Park Master Plan
500,000
Roads Department
Street Repaving
772,192
Street Reconstruction
801,028
Sidewalk Replacement 75,000
Public Facilities Department
Air Conditioner Replacement
30,000
Leisure Services Department
Playground Improvements
Park Improvements
Stormwater
Slip Lining/Pipe Replacement
Stonecrop Upstream Drainage
77,500
Bayfront Road Crossing
250,000
Golf Course
Golf Bunker Renovations
Airport
Airport Mower Deck
Aircraft Wash Rack
Construct Shade Hangar
260,000
Construct Taxiway Golf
197,520
Reconstruct Alpha Apron
45,000
Total FY 2025/2026 $ 83,500 $
772,192 $ 2,824,106 $
250.000
250,000
150.000
American
Golf Airport Rescue
Fund Fund Plan Total
45,355
45,000
15,000
30,000
373,162
93,776
60,775
8,500
500,000
150,000
500,000
772,192
801,028
76,000
30,000
120.000 120,000
20,000 20,000
200,000 200,000
232,500 310,000
250,000
50,000 50,000
30,000 30,000
100,000 $ 25,000 125,000
1,040,000 1.300,000
790,080 987,600
180,000 226,000
250,000 $ 140,000 $ 200.000 $ $ 2,742,580 $ 50,000 $ 55,000 $ - $ 7,117,378
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-29
CAPITAL IMPROVEMENT PROGRAM
BY FUNDING SOURCE
Local Community Recreation
General Option Redevelopment Impact Stormwater Cemetery Grants/
Fund Gas Tax DST Aaencv Fees Fund Trust Bank Note
FISCAL YEAR 2026/2027
General Government
Vx Rail Lease Payments
45,355
City Wide Computers
35,000
COSty Equipment
16,000
Network Infrastructure
30,000
Security Cameras
-
Police Department
Police Vehicles
391,809
Vehicle/Body Cameras
93,776
CAD/RMS System Update
60,775
Road Patrol Equipment
8,500
Community Development
Working Waterfront Expansion
CDBG Grant Program
Riverview Park Event Center
1,000,000
Roads Department
Street Repaving
669.552
Street Reconstruction
1,017,818
Sidewalk Replacement
75,000
Public Facilities Department
Facilities Maintenance Vehic
45,000
Air Conditioner Replacement
35,000
Cemetery
Cemetery Equipment
Cemetery Vehicle
Cemetery Irrigation Pump
Leisure Services Department
Maintenance Equipment
28,000
Playground Improvements
Park Improvements
Stormwater
Slip Lining/Pipe Replacement
Stonecrop Upstream Drainage
86,250
Ocean Cove Drainage
350,000
Golf Course
Golf Bunker Renovations
Airport
Aircraft Wash Rack
Airport Equipment Shelter
Terminal Apron Expansion
240,000
Design NW Airport Access
50,000
TotalFY 2026/2027 $
156,500 $
569,552 $ 3,450,783 $
American
Golf Airport Rescue
Fund Fund Plan Total
45,355
35,000
15,000
30,000
391,809
93,776
60,775
8,500
250,000 250,000 500,000
150,000 150.000
- 1,000,000
569,662
1,017,818
75,000
45,000
35,000
13,000 13,000
40,000 40,000
40,000 40,000
28,000
120,000 120,000
20,000 20,000
220,000 220.000
258,750 345,000
350,000
50,000 50,000
100.000 (100,000) -
40,000 10,000 50,000
960,000 1,200.000
200,000 250,000
250,000 $ 140,000 $ 220,000 $ 93,000 $ 1,958,750 $ 50,000 $ (90,000) $ - 6,798.585
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-29
CAPITAL IMPROVEMENT PROGRAM
BY FUNDING SOURCE
Local Community Recreation
General Option Redevelopment Impact Stormwater Cemetery
Fund Gas Tax DST Agency Fees Fund Trust
FISCAL YEAR 2027/2028
General Government
Vx Rail Lease Payments
45,366
City Wide Computers
45,000
COSty Equipment
15,000
Network Infrastructure
30,000
Police Department
Police Vehicles
411,400
Vehicle/Body Cameras
93,776
CAD/RMS System Update
60,775
Road Patrol Equipment 8,500
Community Development
CDBG Grant Program
Central Avenue Catalyst Site
Roads Department
Street Repaving
392,611
Street Reconstruction
1,614,132
Sidewalk Replacement 75,000
Public Facilities Department
Air Conditioner Replacement
35,000
Cemetery
Cemetery Equipment
Leisure Services Department
Maintenance Equipment 22,000
Playground Improvements
Park Improvements
Stormwater
Slip Lining/Pipe Replacement
Golf
Golf Bunker Renovations
Airport
Airport Backhoe Loader
Construct NW Airport Access
600,000
TotalFY 2027/2028 $ 105,500 $
392,611 $ 2,950,437 $
500,000
80,000
20,000
242,000
16,000
American
Grants/ Golf Airport Rescue
Bank Note Fund Fund Plan Total
45,355
45,000
15,000
30,000
411,400
93,776
60,775
8,500
150.000 150,000
500,000
392,611
1,614,132
75,000
35,000
16,000
22,000
80,000
20,000
242,000
50,000 50,000
65,000 65,000
2,400,000 3,000.000
500,000 $ 100,000 $ 242,000 $ 16,000 $ 2,550,000 $ 50,000 $ 65,000 $ - $ 6,971,549
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-29
CAPITAL IMPROVEMENT PROGRAM
BY FUNDING SOURCE
Local Community Recreation
General Option Redevelopment Impact Stormwater Cemetery Grants/ Golf
Fund Gas Tax DST Aoencv Fees Fund Trust Bank Note Fund
FISCAL YEAR 2028/2029
General Government
Vx Rail Lease Payments
45,355
City Wide Computers
35,000
COSty Equipment
15,000
Network Infrastructure
30,000
Police Department
Police Vehicles
431,970
Vehicle/Body Cameras
93,776
CAD/RMS System Update
60,775
Road Patrol Equipment 8,500
Community Development
CDBG Grant Program
Roads Department
Street Repaving
417,500
Street Reconstruction
1,670,000
Sidewalk Replacement 75,000
Public Facilities
Air Conditioner Replacement
40,000
Leisure Services Department
Maintenance Equipment 30,000
Park Improvements
Stormwater
Slip Lining/Pipe Replacement
Golf Course
Golf Bunker Renovations
Airport
20,000
266,000
150,000
50,000
American
Airport Rescue
Fund Plan Total
45,365
35,000
15,000
30,000
431,970
93,776
60,775
8,500
150,000
417,500
1.670,000
75,000
40,000
30,000
20,000
266,000
50,000
Design Taxiway Bravo Rehab
11,500
218,500
230,000
Total FY 2026/2029 $ 113,500
$ 417,500 $ 2,433,376 $
- $ 20,000 $ 266,000 $ - $ 368,500 $ 50,000 $
$ $ 3,668,876
Grand Total $ 1,175,960
$ 3,785,118 $ 21,308,909 $
1,310,000 $ 850,000 $ 393,000 $ 29,019,758 $ 342,300 $ 163,454
$ 30,000 $ 59,663,500
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
GENERAL GOVERNMENT - MIS DIVISION
Project Name: I Vx Rail Lease Payments Project Description:
Funding Source: I Discretionary Sales Tax I Capital Lease Payments on VxRail Infrastructure.
Justification: I This product is used to effectively manage all the Police Department programs and applications that are+
fhosted in the cloud. It was initially acquired in FY 19-20 via a five year capital lease arrangement. II
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 43,195 $ 45,355 $ 45,355 $ 45,355 $ 45,355 $ 45,355 $ 269,969
Operating Impact:
$ - $ (5,615) $ (5,032) $ 2,354 $ 15,680 $ 33,174 $ 40,560
Project Pricing: Lease provided through Dell, the only provider of this technology. It is assumed that after the last payment in
FY 23-24, another financing will be required for an equivalent acquisition of this type of technology. A 5%
increase in cost is anticipated.
Project Name: City Wide Computers Project Description:
Funding Source: Discretionary Sales Tax Upgrades of 7-10 Workstations a Year for All Departments. Most of the
Police Department Units will be included with Vehicle Purchases.
Justification: (Computer workstations and laptops in all Departments need to be replaced and updated on a five yearl
J schedule to keep up with technology. !I
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 45,000 $ 35,000 $ 45,000 $ 35,000 $ 45,000 $ 35,000 $ 240,000
Operating Impact:
$ - $ (7,650) $ (7,300) $ (3,750) $ 6,900 $ 18,250 $ 6,450
Project Pricing: I Laptops @ $3,000 each with 5 year warranties, docking stations and monitors. Desktops @ $1,500 each.
Project Name: ICOSty Equipment (Project Description:
Funding Source: IDiscretionary Sales Tax Update Equipment needed to continue broadcasting.
Justification: COSty is constantly replacing and updating equipment in order to continue to provide the public with
programming of our boards & committees, along with other events. We are looking to replace the speaker
system in the chambers as we have a couple speakers that are no longer functional
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 15,000 $ 15,000 $ 15,000 $ 15,000 $ 15,000 $ 15,000 $ 90,000
Operating Impact:
$0 $ (2,550) $ (3,000) $ (1,350) $ 2,100 $ 6,750 $ 1,950
Project Pricing: JBL CBT70J-1 (2)@ $1245 = $2490, JBL CBT 70JE-1-WH Extension (2)@ $705 = $1,410, JBL CBT
50LA-1 (4)@ $485 = $1,940, Crown CDi DriveCore 41300BL Power Amplifier (1)@ $2,800
Wiring & Accessories $500, Total$ 9,140 + 20% for Price Changes = 11,000 For Speakers alone
Project Name: Network Infrastructure Project Description:
Funding Source: Discretionary Sales Tax Network Infrastructure Upgrades.
Justification: General upgrading of network infrastucture to continue providing services. Includes switches, servers and
other needed infrastructure to improve the speed of the network and reliability of services.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 30,000 $ 30,000 $ 30,000 $ 30,000 $ 30,000 $ 30,000 $ 180,000
Operating Impact:
$ - $ (5,100) $ (6,000) $ (2,700) $ 4,200 $ 13,500 $ 3,900
Project Pricing: f Depending on the use case of the hardware, availability and restrictions on where some devices come from
determines the price of the hardware. II
%.6'®
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
GENERAL GOVERNMENT - MIS DIVISION (CONTINUED)
Project Name: Core and Remote Switches Project Description:
Funding Source: Discretionary Sales Tax Upgrade of Core and Remote Switches.
Justification: Replacement of the Core Switches in both City Hall and the Police Department are needed every five years)
in order to maintain security and provide the services required.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 60,000 $ - $ - $ - $ - $ - $ 60,000
Operating Impact:
$ - $ (10,200) $ (1,800) $ 6,600 $ 13,800 $ 18,600 $ 27,000
Prices for the replacment of the (2) Main Internet Firewalls are coming in at over 29,000 a piece with 5 years
of coverage. Might be able to get that price down based on when we do this project as Sophos might give us
Project Pricing: a Trade -up" credit on our current ones.
Project Name: [Security Cameras Project Description:
Funding Source: IDiscretionary Sales Tax Addition and updates of Security Cameras.
Justification: MIS will work with the Leisure Services Department and the Police Department to bring at least three
cameras online at parks, along with updating and adding additional cameras on other City properties.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 30,000 $ - $ - $ - $ - $ - $ 30,000
Operating Impact:
$ - $ (3,900) $ 600 $ 5,100 $ 9,000 $ 11,700 $ 22,500
Project Pricing: Verkada Cameras are about $3,000 a piece (5 yr support) for the small view or $5,000 a piece for a camera
housing with 4 cameras. A remote internet connection is $1,100 (with 5 years of support) with a monthly
charge of around 30.00 a month. There are also other costs that will need to be addresses such as poles and
electric
Project Name: f Sidewalk Assurance System Project Description:
Funding Source: .]Discretionary Sales Tax I Added Techology in Riverview Park and down Indian River Drive.
Justification: This technology is needed will be added to Riverview Park and Indian River Drive to provide a means to
improve safety and protect against unsupported insurance claims.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 50,000 $ - $ - $ - $ - $ - $ 50,000
Operating Impact:
$ - $ (6,500) $ 1,000 $ 8,500 $ 15,000 $ 19,500 $ 37,500
Project Pricing: (Pricing is based on the maxium matching funds that we expect. We will be working with a private company)
to assist with obtaining the grant and to also to manage it.
Project Name: ICyber Security Features Project Description:
Funding Source: IDiscretionary Sales Tax I Additional Software and Hardware for Cyber Security.
Justification: This is needed to provide protection from viruses and malware and will cover encryption software.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 30,000 $ - $ - $ - $ - $ - $ 30,000
Operating Impact:
(3,900) 600 5,100 9,000 11,700 $ 22,500
Project Pricing: lPricing is based on existin softwarethe maxium matching funds that we expect. We will be working with a
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
GENERAL GOVERNMENT - MIS DIVISION (CONTINUED)
Project Name: Public Works Compound Firewall Project Description:
Funding Source: Discretionary Sales Tax Replace the Core Firewall, improve connection to the City Network and
provide on -site servers to the Public Works Compound.
Justification: The Public Works Compound needs a more robust firewall then the one that is currently out on site. The
current one was built by MIS from old server parts in order to get the builidng up and running. Servers also
need to be relocated on site in order to have this facility more self sufficent.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 75,000 $ - $ - $ - $ - $ - $ 75,000
Operating Impact:
$ - $ (9,750) $ 1,500 $ 12,750 $ 22,500 $ 29,250 $ 56,250
Project Pricing: IPricing is based on the cost of Fiewall replacements experienced at City Hall.
POLICE DEPARTMENT
Project Name: Police Vehicles Project Description:
Funding Source: Discretionary Sales Tax 23/24- 1 Administrative Vehicle, 5 Patrol Units replacement, 2 Patrol
Units for new hires, 1 K-9 Vehicle and 1 Code Enforcement Vehicle, all
with equipment.
24/25- 5 Vehicle replacement and 2 Patrol Units for new hires, all with
new equipment. 25/26-
5 Vehicles w/equipment. 26/27-
5 Vehicles w/equipment.
27/28- 5 Vehicles w/equipment.
28/29-5 Vehicles wigauimmnnr
Justification: This replaces older vehicles with higher mileage and maintenance cost. Includes two patrol units in FY 23/24
and two patrol units for FY 24/25 in anticipation of adding Police Officers those years. Includes associated
vehicle equipment including body cameras, computers and communications equipment.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 620,431 $ 485,383 $ 373,152 $ 391,809 $ 411,400 $ 431,970 $ 2,714,145
Operating Impact:
$ - $ (124,086) $ (159,120) $ (123,169) $ (53,634) $ 13,938 $ (446,071)
Project Pricing: I Written quotes not available due to impending price increase. Projected on prior year cost plus 5%.
Project Name: Vehicle/Body Cameras Project Description:
Funding Source: Discretionary Sales Tax 5 Year Lease Agreement for Vehicle and Body Worn Cameras. Includes
3 Police Officers added in FY 22-23 and provides for 2 Code
Enforcement Officers. Expected to be renewed in FY 26 with an
estimated $5.000 increase to annual fees.
Justification: To promote full transparency and obtain video surveillance footage of every encounter with Patrol Officers
for evidentiary purposes. These will be added for Code Enforcement Officers. This is a 5 year lease
agreement initiated in FY 20-21 and includes unlimited cloud storage and maintenance fees.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 26-27 FY 28-29 Total
$ 88,776 $ 88,776 $ 93,776 $ 93,776 $ 93,776 $ 93,776 $ 552,656
Operating Impact:
$ - $ (17,755) $ (26,633) $ (27,633) $ (19,255) $ (6,827) $ (98,103)
Project Pricing: 1Pricing based of current aggreement with added cameras, plus $5,000 a year for a new lease in FY 25-26.
1�1-
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
POLICE DEPARTMENT - (CONTINUED)
Project Name: 1CAD/RMS System Update Project Description:
Funding Source: I Discretionary Sales Tax I Soma global CAD/RMS System Implementation
Justification: Updated CAD/RMS system to address security and FDLE Technical Audit shortcomings and assist in
providing fluid workflow throughout the Police Department. This five year agreement was approved in
January 2022. Future year projections assume renewal or an alternate system at that level of expenditure.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 60,775 $ 60,775 $ 60,775 $ 60,775 $ 60,775 $ 60,775 $ 364,650
Operating Impact:
$ - $ (10,332) $ (12,155) $ (5,470) $ 8,509 $ 27,349 $ 7,901
Project Pricing: Based on approved agreement. I
Project Name: Road Patrol Equipment Project Description:
Funding Source: General Fund 23/24 - 2 LIDAR Units $5,300, 1 Night Vision Rifle Scope $8,000,
4 Rapid ID Devices $7,460 and 5 Tasers $8,500.
24/25 - 2 LIDAR Units $5,500, 2 Night Vision Goggles $6,000,
4 Helmets $4,800, 10 Ballistic Shields $10,000 and 5 Tasers $8,500.
25/26 - 5 Tasers $8,500.
26/27 - 5 Tasers $8,500.
27/28 - 5 Tasers $8,500.
79120 - 5 Tq zL-m U 500
Justification: Continue replacement of old LIDAR units. Upgrade the Special Response Unit Sniper Rifle Night Vision
Scope Optics to allow a clearer field of view at longer distances under low light to dark conditions. Current
scope only allows a clear sight picture at 50 yards. This item will provide an advantage and increase the safe
operation of team members in the event of dealing with a critical incident during low light/dark conditions.
Replace the 4 old Rapid ID units (10+ years old) with 4 new units with up-to-date software. Replace 2 Night
Vision Goggles, 4 Police Special Response Team Helmets and 10 expiring Balistic Shields. Replacement of'
5 of the older Taser units each vear.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 29,260 $ 34,800 $ 8,500 $ 8,500 $ 8,500 $ 8,500 $ 98,060
Operating Impact:
$ - $ (5,852) $ (9,886) $ (5,180) $ 376 $ 5,026 $ (15,516)
Project Pricing: [ Written quotes. Price is factored to have a slight increase in cost next fiscal or calendar year.
Project Name: I Indoor Firearms Range Project Description:
Funding Source: I Grants I Construction of a City owned indoor firearms range.
Justification: Police Officers currently travel outside of the City to use other municipality's facilities for firearms
qualification. This begins when officers are hired and continues a few times a year until they retire. The
Special Response Team must maintain the best level of proficiency, requiring even more training. Having the
facility locally will reduce travel time and allow access at will versus competing with others for time slots.
The facility can be restricted to City personnel or be opened to the public with a fee.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 5,000,000 $ - $ - $ - $ - $ - $ 5,000,000
Operating Impact:
$ - $ (950,000) $ (900,000) $ (750,000) $ (700,000) $ (550,000) $ (3,850,000)
Project Pricing: IJust a ballpark estimate. It is hoped that Grants will be found. I
IS-3
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
POLICE DEPARTMENT - (CONTINUED)
Project Name: I Investigations Equipment Project Description:
Funding Source: General Fund Blocker Locker $5,000, Blockbox Lab XL $3,000 and Cree BM LED
Streetlight Package $3,500.
Justification: Mission Darkness Blocker Locker is a secure evidence cabinet that keeps devices individually locked,
shielded and charged during storage. There has been an increase in requests from the State Attorney's Office
for digital evidence to be produced for criminal proceedings. Currently the Police Department does not have
the means to properly secure digital devices, while maintaining the proper chain of custody. This equipment
has seven compartments consisting of RF blocking materials and securely maintains evidence by preventing
outside influence, such as remote hacking or wiping. The Blocker Locker is equipped with charging ports/
cables, allowing digital devices to maintain a proper charge. B1ockBOX Lab XL is a large forensic analysis
enclosure that allows evidence technicians to access digital evidence in a secure manner. Once inside the
BlockBox Lab, the digital device can be removed and connected to an evidence computer for evidence
download, which allows evidence technicians to maintain the chain of custody and secure digital evidence
from outside influence. The Blockbox XL has connection ports for device charging and will work with
current Police Department software download equipment. The use of the Mission Darkness Blocker Locker
and Mission Darkness BlockBox XI would allow officers and evidence technicians to properly secure and
download devices containing digital evidence. The Cree BM LED Streetlight Package D Axis M5074 +
Microhard Modem will expand the capabilities of the Police Department and promote safety for officers
conducting surveillance operations by utilizing covert surveillance techniques to conduct criminal
investigations. Due to staffing shortages and the increase of counter -surveillance, the use of covert
surveillance is crucial for obtaining evidence needed for criminal proceedings. This equipment will further
assist officers in obtaining evidence for criminal investigations.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 11,500 $ - $ - $ - $ - $ - $ 11,500
Operating Impact:
$ - $ (1,725) $ (460) $ 805 $ 2,070 $ 2,645 $ 3,335
Project Pricing: I Written quotes have been obtained.
COMMUNITY DEVELOPMENT DEPARTMENT
Project Name: lWorking Waterfront Expansion Project Description:
Funding Source: 150%
50% FIND Grant $810,000 Expansion of the Working Waterfront Submerged Land Lease and
CRA Fund $810,000 Addition of Dock Facilities - Phase I.
Justification: Expand the Working Waterfront facilities and secure safe harbor for our commercial and aquaculture
industry. Many existing marina facilities are no longer able to accommodate commercial fishing vessels The
City has taken steps with the FDEP to expand the existing Submerged Land Lease and to recieve grant
funding from FIND. Phase I funding will include engineering design, permitting, and construction bid
documents and award.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 120,000 $ 500,000 $ 500,000 $ 500,000 $ - $ - $ 1,620,000
Operating Impact:
$ - $ (10,800) $ (54,600) $ (92,200) $ (121,000) $ (98,600) $ (377,200)
Project Pricing: (FIND grant award may cover half the cost of the projected project costs. a
1-IN
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
COMMUNITY DEVELOPMENT DEPARTMENT (CONTINUED)
Project Name: I CDBG Grant Program Project Description:
Funding Source: THUD Community Development Housing Rehab and Infrastructure Improvements
Block Grant Program
Justification: ICDBG Entitlement grant. Projects are approved and awarded each year. Past projects have included
sidewalks and housing repairs.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 150,000 $ 150,000 $ 150,000 $ 150,000 $ 150,000 $ 150,000 $ 900,000
Operating Impact:
Project Pricing: I Grant amount can vary.
Project Name: IRiverview Park Master Plan Project Description:
Funding Source: I Discretionary Sales Tax Implementation of CRA Master Plan infrastructure improvements for
the Riverview Park area.
Justification: The CRA Master Plan supports planned improvements and should have immediate positive impacts to the
business district and creation of event space. Includes Harrison Street, overflow parking and pavilion.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ - $ 500,000 $ 500,000 $ - $ - $ - $ 1,000,000
Operating Impact:
$ - $ - $ (45,000) $ (85,000) $ (70,000) $ (55,000) $ (255,000)
Project Pricing: Cost estimate from the Master Plan.
Project Name: Riverview Park Event Center Project Description:
Funding Source: Discretionary Sales Tax Implementation of CRA Master Plan for construction of an event center
in the Riverview Park area.
Justification: I The CRA Master Plan supports a project to locate an event center in the Riverview Park area.
Project Costs:
FY 23-24 FY 24-25 FY 25-26
Operating Impact:
Project Pricing: ICost estimate from the Master Plan.
Project
FY 26-27 FY 27-28 FY 28-29 Total
$ 1,000,000 $ - $ - $ 1,000,000
$ - $ (90,000.) $ (80,000) $ (1,320,000)
I
Project Name: Central Avenue Catalyst Site Project Description:
Funding Source: Community Redevelopment I Provide Event Space on North Central Avenue.
Justification: `The CRA Master Plan supports planned improvements and should have immediate positive impacts to the
(business district and creation of event space.
Project Costs:
FY 23-24 FY 24-25 FY 25-26
Operating Impact:
Project Pricing: 1 Cost estimate from the Master Plan.
Project
FY 26-27 FY 27-28 FY 28-29 Total
$ - $ 500,000 $ - $ 500,000
$ - $ - $ (45,000) $ (590,000
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
COMMUNITY DEVELOPMENT DEPARTMENT (CONTINUED)
Project Name: Community Development Offices Project Description:
Funding Source: General Fund Renovation of Community Development's Lobby and Offices.
Justification: The Community Development Department offices need improvements to meet current safety standards.)
Improvements will also improve work flow and create space. +I
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 88,500 $ - $ - $ - $ - $ - $ 88,500
Operating Impact:
$ - $ (30,090) $ (30,090) $ (28,320) $ (28,320) $ (26,550) $ (143,370)
Project Pricing: Estimate is based on a conceptual drawing and cost estimate presented several years ago. Design build costs
for the Building Department were in the amount of $186,874. After subtracting the cost of carpeting, these
improvements will be approximately half of those.
ROADS DEPARTMENT
Project Name: Pavement Grinder Project Description:
Funding Source: General Fund I Purchase of Grinder for completing roadway repainting and striping.
Justification: This is requested by the Sign Shop to grind down thermoplastic and roadway paint when repainting and
striping of roadways. It will be autoleveling to help ensure additional sections of pavement are not ground
down during removal of thermoplastics and roadway paint. It will limit roadway deterioration and prolong
pavement life, allowing efficient paint removal and reduce grinding time.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 22,000 $ - $ - $ - $ - $ - $ 22,000
Operating Impact:
$ - $ (4,840) $ (4,840) $ (4,840) $ (4,840) $ (4,840) $ (24,200)
Project Pricing: ITwo quotes were obtained which include training on the equipment.
Project Name: IVinyA
Printer Project Description:
Funding Source: General Fund Purchase of a Vinyl Printer.
Justification: I This equipment will be utilized for creating signs at the Sign Shop.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 6,000 $ - $ - $ - $ - $ - $ 6,000
Operating Impact:
$ - $ (1,440) $ (1,020) $ (600) $ (300) $ (240) $ (3,600)
Project Pricing: iPricing is based on current cost estimates that were provided by vendors.
Project Name: Enclosed Trailer Project Description:
Funding Source: General Fund I Replacement for PW47 Enclosed Trailer. li
Justification: This trailer was purchased in 2005 needs replacement. It is not weatherproof due to it's age and rainwater has
been leaking into the interior. We attempted to refurbish it but at this point a replacement will be more
effective. It is regularly used for road closures and transporting safety equipment, such as cones, roadway
barriers, and signage used to protect workers in the right of way from adjacent traffic. It is also used with the
events trailer to transport equipment needed for larger City events.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 8,000 $ - $ - $ - $ - $ - $ 8,000
Operating Impact:
$ - $ (3,360) $ (3,200) $ (3,040) $ (2,880) $ (2,720) $ (15,200)
Project Pricing: This quote was obtained from Indian River Trailers.
{S&
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
ROADS DEPARTMENT (CONTINUED)
Project Name: Street Repaving Project Description:
Funding Source: Local Option Gas Tax Crack Sealing, Double Microsurfacing, Cape Sealing and 2" Overlay for
Streets programmed by the Pavement Management Consultant to
address preservation repaving and associated swale work.
Justification: These funds are to address streets that require resurfacing to extend their useful life. This work was deferred
to allow associated swale work to be accomplished for past resurfacing projects. The Pavement Management
Program has been updated, so these allocations are to act on the results of that update. The work that should
have been done in FY 21-22 and FY 22-23 can be also be funded from cash balances currently on hand in
the Local Option Gas Tax Fund. Annual appropriations from the Local Option Gas Tax Fund will be
sufficient to fully implement the recommended Program.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 533,423 $ 1,099,840 $ 772,192 $ 569,552 $ 392,611 $ 417,500 $ 3,785,118
Operating Impact:
$ - $ (69,345) $ (190,987) $ (226,042) $ (203,8651 $ (135,904) $ (826,144)
Project Pricing: (Based on Recommended Plan for preservation work, plus a proportionate estimate for the swale work.
Project Name: Street Reconstruction Project Description:
Funding Source: Discretionary Sales Tax. Reconstruction based on Pavement Management Consultant
recommendations for major repairs and associated swale work.
Justification: These funds are to address streets in bad condition that are beyond normal repaving work and require full
depth reconstruction. This work was deferred to allow associated swale work to be accomplished for past
paving projects. The Pavement Management Program has been updated, so these allocations are to act on the
results of that update. The work that should have been done in FY 21-22 and FY 22-23 can be also be funded
from cash balances currently on hand in the ARPA and Local Option Gas Tax Funds. The balance allocated
from the ARPA Fund, plus these annual appropriations from the Discretionary Sales Tax will be sufficient to
fully implement the recommended Program.
Project Costs:
Project
FY 23-24
FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 1,780,163
$ 1,209,768 $ 801,028 $ 1,017,818 $ 1,614,132 $ 1,670,000 $ 8,092,909
Operating Impact:
$ -
$ (267,024) $ (252,672) $ (43,934) $ 220,399 $ 400,435 $ 57,205
Project Pricing:
Project costs are projected based on the Recommended Plan for preservation work, plus a proportionate
estimate for the associated swale work.
Project Name:
Sidewalk Replacement Project Description:
Funding Source:
I General Fund
Replace 5,000 linear feet of 5 foot wide sidewalk along high
pedestrian/bicycle usage City streets each fiscal year.
Justification:
The City receives a large number of citizen request to repair sidewalks in a highly deteriorated condition.
These are serious trip and fall hazards and expose the City to significant tort liability. The City has not had a
formal sidewalk repair/replacement program for many years and only makes spot repairs following
significant trip and fall incidents. This work may be contracted out to adequately address this need.
Project Costs:
Project
FY 23-24
FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 75,000
$ 75,000 $ 75,000 $ 75,000 $ 75,000 $ 75,000 $ 450,000
Operating Impact:
$ -
$ (9,750) $ (16,500) $ (20,250) $ (21,000) $ (18,750) $ (86,250)
Project Pricing:
Based on the anticipation that at a 5 foot sidewalk width, approximately 5,000 linear feet of PCC sidewalk
can be placed per year at a cost of $100,000.
K-1
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
ROADS DEPARTMENT (CONTINUED)
Project Name: ITraffic Analyzers (2) Project Description:
Funding Source: (General Fund I Purchase two Traffic Analyzer Units. i
Justification: I Thes units are needed for use in the Roads Department.
Project Costs: Project
FY 23-24 F_ Y 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 3,500 $ - $ - $ - $ - $ - $ 3,500
Operating Impact:
$ - $ (455) $ (315) $ (175) $ (35) $ 105 $ (875)
Project Pricing: Pricing is estimated.
Project Name: Air Compressor Jack Hammer Project Description:
Funding Source: General Fund Purchase a Trailer Mounted Sullair Air Compressor Jack Hammer to
break up existing sidewalks and driveways in need of replacement.
Justification: Currently the Roads department is using a generator with concrete saws and jack hammers to complete small
concrete removal jobs. Tying the machinery to a generator limits the movement of the equipment as with a
further distance from the generator causes an electric loss. On larger jobs the generator and equipment are
moved in multiple passes. We have seen in the past few years an increase in concrete removals as the
draiange repairs are now completed in conjunction with road repavings. We are also planning to replace
many sections of City sidewalks. With these large removal jobs it is more efficient to use a higher powered
air compressor powered jack hammer that is trailer mounted. With this purchase we would have a higher
powered jack hammer that will allow for quicker and more efficient concrete removals. This equipment
could also be used to complete work for other City departments.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 28,400 $ - $ - $ - $ - $ - $ 28,400
Operating Impact:
$ - $ (5,680) $ (2,840) $ - $ 2,840 $ 3,976 $ (1,704)
Project Pricing: IPricing estimated from the Florida Sheriffs Contract. Includes a 1001b air hammer and 200 ft. air hose.
Project Name: Sign Shop Truck Project Description:
Funding Source: (General Fund Replacement of PW08 used for transporting, removing and installing
roadway signs.
Justification: PW08 is currently at its service age. The replacement will have a sign puller attached to the front of the
truck, which will make day to day operations smoother as it is designed specifically for that purpose. The
truck wil be a dual axle vehicle with two wheel drive and an 11 foot utility body suitable for storing longer
sign post. It will be used on a daily basis for sign inspections, repairs and off hours as needed for emergency
sign replacements due to accidents. It will also be able to tow the event trailer as needed and provide event
signage.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 75,000 $ - $ - $ - $ - $ - $ 75,000
Operating Impact:
$ - $ (15,000) $ (7,500) $ - $ 7,500 $ 10,500 $ (4,500)
Project Pricing: 1Quote was obtained from Bartow Ford for the specifications described above.
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
FACILITY MAINTENANCE DIVISION
Project Name: IFacilities Maintenance Vehicles Project Description:
Funding Source:
General Fund FY 23-24 $63K Work Van
I FY 26-27 $45K 1/2 Ton Extended Cab Pickup.
Justification:
These are recommended replacements from Fleet Maintenance based on the age/mileage and maintenance
expenditures. BM101 (GMC Van) replacement was moved up due to the amount of rust of the body and the
cost for repairs.
Project Costs:
Project
FY 23-24
FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 63,000
$ - $ - $ 45,000 $ - $ - $ 108,000
Operating Impact:
$ -
$ (8,190) $ (5,670) $ (3,150) $ (6,480) $ (2,160) $ (25,650)
Project Pricing:
Pricing is based on current cost estimates that were provided by vendors.
Project Name:
Air Conditioner Replacement
Project Description:
Funding Source:
Discretionary Sales Tax
Replacement of air conditioning units, as needed.
Justification:
We currently have 10 units that are 15+ years old at facilities within the City. As these units age we are going
to continue having maintenance issues and some will need to be replaced. This line item will provide funding
in the event that we need to replace air conditioning units throughout the year.
Project Costs:
Project
FY 23-24
FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 25,000
$ 30,000 $ 30,000 $ 35,000 $ 35,000 $ 40,000 $ 195,000
Operating Impact:
$ -
$ (3,250) $ (6,150) $ (7,850) $ (9,000) $ (8,750) $ (35,000)
Project Pricing:
based on current replacement costs of a standard sized unit within City facilities and the recent
(Pricing
average number of units that have been replaced annually.
Project Name:
IRoof Replacements Project Description:
Funding Source:'
General Fund I Reroofing Restroom Buildings at Creative Park and Hardee Park.
Justification:
I These restroom facilities are in need of reroofing.
Project Costs:
Project
FY 23-24
FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 17,000
$ - $ - $ - $ - $ - $ 17,000
Operating Impact:
$ -
$ (3,250) $ (6,150) $ (7,850) $ (9,000) $ (8,750) $ (35,000)
Project Pricing:
Pricing based on cost estimates provided March 30, 2023 to re -roof restrooms with metal roofing.
Project Name:
Senior Center Roof Replacement
lReroofing
Project Description:
Funding Source:
General Fund
of the Senior Center.
Justification:
Recent repairs have shown that the shingle roof is in need of replacement based on two evaluations of the
roof after recent leaks and repairs. Work will include the covered walkway and restroom building. New roof
will be done with 26 gauge 5v galvalume metal.
Project Costs:
Project
FY 23-24
FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 60,000
$ - $ - $ - $ - $ - $ 60,000
Operating Impact:
$ -
$ (10,200) $ (1,800) $ 6,600 $ 13,800 $ 18,600 $ 27,000
Project Pricing: Pricin - based on cost estimates provided March 30, 2023 to re -roof restrooms with metal roofma
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
FACILITY MAINTENANCE DIVISION
Project Name: JArt Center Roofing Project Description:
Funding Source:General Fund iReroofmg of the Art Center.
Justification: Current condition indicates that the roof needs to be recovered. Work will include disposing of the loose
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ - $ 30,000 $ - $ - $ - $ - $ 30,000
Operating Impact:
$ - $ $ (5,100) $ (900) $ 3,300 $ 6,900 $ 4,200
Project Pricing: Pricing based on cost estimate received on April 17, 2023 and includes permitting and engineering. f
CEMETERY DIVISION
Project Name: Cemetery Equipment Project Description:
Funding Source: Cemetery Trust Fund 23-24 - Replace Zero Turn Mower $14,000.
26-27 - Replacee Dump Trailer $13,000.
27-28 - Replace Zero Turn Mower $16,000.
Justification: iDump
Zero Turn mower C411 will exceed it's replacement schedule for Hours and years in FY 23/24, Cemetery
Trailer will be replaced in FY 26-27, Zero Turn mower C409 will be replaced in FY 27-28
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 14,000 $ - $ - $ 13,000 $ 16,000 $ - $ 43,000
Operating Impact:
$ - $ (2,380) $ (420) $ 1,540 $ 1,010 $ 1,230 $ 980
Project Pricing: IPricing based on current estimates for zero turn mowers and dump trailers thru multiple vendor quotes.
Project Name: Cemetery Vehicle Project Description:
Funding Source: Cemetery Trust Fund 127-28 - Replace 1/2 Ton Extended Cab Pickup $40,000.
Justification: This is a recommended replacemetn from Fleet Maintenance based on the age/mileage and maintenance
expenditures on the current truck C403
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ - $ - $ - $ 40,000 $ - $ - $ 40,000
Operating Impact:
$ - $ - $ - $ - $ (6,800) $ (1,200) $ (8,000)
Project Pricing: I This pricing and replacement schedule based on current price estimates provided by vendors.
Project Name: CCemetery Irrigation Pump Project Description:
Funding Source: Cemetery Trust Fund I Additional Irrigation Pump.
Justification: The Cemetery is setup with one irrigation pump that runs for approximately 22.5 hours per day to irrigate all
5 units within the cemetery. Staff is requesting to purchase a second pump so that the two pumps can
alternate and increase their lifespan. This also provides us an immediate backup if the pump fails.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 10,000 $ - $ - $ 40,000 $ - $ - $ 50,000
Operating Impact:
$ - $ (1,300) $ 200 $ 1,700 $ (2,200) $ 4,700 $ 3,100
Project Pricing: IPricing is based on the current pump purchase price I
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
CEMETERY DIVISION (CONTINUED)
Project Name: I Columbarium Niches Project Description:
Funding Source: I Cemetery Trust Fund Add a New Columbarium Niche
Justification: The columbarium niches have become increasingly more popular, especially the double units. Based on the
recent 3-year averages and the number of "double" units we have currently available we will need to begin
adding additional niches in the coming years.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ - $ 95,000 $ - $ - $ - $ - $ 95,000
Operating Impact:
$ - $ - $ (18,050) $ (17,100) $ (14,250) $ (13,300) $ (62,700)
Project Pricing: Price is based on the current cost for a 120 unit columbarium niche being $60,000. Additional funds are for
the installation of the foundation, installation of the columbarium niche and permitting costs. If
Project Name: Cemetery Grounds Maintenance Project Description:
Funding Source: Cemetery Trust Fund Lifting, leveling and lining up all markers and uprights, replacing
concrete foundations for uprights as needed for Units 1, 2 and 4.
Justification: Most markers have begun to sink into the ground. Staff has worked to lift as many as possible, however there
are still many they are unable to handle. This project would involve a professional monument company
coming in to take care of all the markers and uprights that are needed to level the areas.
Project Costs:
FY 23-24
$ 165,000
Operating Impact:
#REF!
Project Pricing:
FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29
This is based off pricing obtained from a vendor in April 2023.
LEISURE SERVICES DEPARTMENT
Project Name: Maintenance Equipment
Funding Source: General Fund
Proj ect
Total
$ 165,000
#REF!
Project Description:
Provide Necessary Maintenance or Replacement of equipment:
23-24 11K Replace (1) Zero Turn Mower P378.
23-24 $12K Replace Mowing Crew Enclosed Trailer P350.
24-25 $12K Replace Mowing Crew Enclosed Trailer.
26-27 $28K Replace (2) Zero Turn Mowers.
27-28 $22K Replace Bush Hog 15' Mower.
28-29 $15K Replace Steel Green Sprayer/Spreader.
28-29 $15K Replace SnaDDer Pro Zero Turn Mower.
Justification: Zero Turn Mower P378 is scheduled to be replaced this year as it has exceeded the number of years for daily
commercial usage. P350 is an enclosed parks mowing crew trailer that is also scheduled for replacement in
IFY 23-24.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26, FY 26-27 FY 27-28 FY 28-29 Total
$ 23,000 $ 12,000 $ - $ 28,000 $ 22,000 $ 30,000 $ 115,000
Operating Impact:
$ - $ (3,910) $ (2,730) $ 2,170 $ 1,850 $ 5,310 $ 2,690
Project Pricing: Pricing for equipment is based on current cost estimates received from various vendors this fiscal year with1
projected cost increases for future years. 1J
141
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
LEISURE SERVICES DEPARTMENT (CONTINUED)
Project Name: Parks Division Vehicles Project Description:
Funding Source: General Fund Replacement Vehicles:
23-24 40K 1/2 Ton $40K Extended Cab Pickup P308.
Justification: P308 is scheduled to be replaced as it is a 2004 Chevy Silverado that is seeing increased maintenance)
expenses and has exceeded the recommended service life.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ - $ 40,000 $ - $ - $ - $ - $ 40,000
Operating Impact:
$ - $ - $ (8,000) $ (4,000) $ - $ 4,000 $ (8,000)
Project Pricing: Pricing is based on curret cost estimates to replace this truck at the current time, factoring in a small increase
in anticipated cost going into the new fiscal year.
Project Name: Parks Maintenance Shed Project Description:
Funding Source: General Fund Purchase a Shed for the Barber Street Maintenance Area for Storage of
Parks Equipment.
Justification: Parks Division needs an open air shed to store equipment in order to improve the the expected lifespan. It
will also serve as an area for staff to perform routine maintenance and repairs on small equipment.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 15,000 $ - $ - $ - $ - $ - $ 15,000
Operating Impact:
$ - $ (2,700) $ (2,100) $ (1,500) $ (900) $ (300) $ (7,500)
Project Pricing: Pricing based on quote provided by a vendor that supplied covered shelters recently.
Project Name: Splash Pad Replacement I Project Description:
Funding Source: I Discretionary Sales Tax Fund I Complete Replacement of the Splash Pad Located at Riverview Park.
Justification: The Splash Pad has exceeded its expected lifespan. Staff is having to replace pumps and filtration elements
every year. The recirculation holding tank has leaks and needs to be replaced. The computer system on the
splash pad operating system is outdated and we are unable to find replacement parts leaving staff with the
inability to adjust the current settings.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ - $ 1,000,000 $ - $ - $ - $ - $ 1,000,000
Operating Impact:
$ - $ - $ (300,000) $ (270,000) $ (240,000) $ (210,000) $ (1,020,000)
Project Pricing: IPrice is estimated based on other splash pad designs and costs around the state.
Project Name: Friendship Park Baseball Field Project Description:
Funding Source: Discretionary Sales Tax I Baseball field improvements.
Justification: These allocations enable dug -out and netting for the former practice field.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 25,000 $ - $ - $ - $ - $ - $ 25,000
Operating Impact:
$ - $ - $ 2,000 $ 4,000 $ 6,000 $ 8,000 $ 20,000
Project Pricing: !No detailed cost estimates are available at this time. I
!62
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
LEISURE SERVICES DEPARTMENT (CONTINUED)
Project Name: Playground Improvements
Funding Source: Recreation Impact Fund
Project Description:
Replace and improve current playgrounds throughout the City to
become more accessible:
FY 23-24 Creative Playground.
FY 24-25 Bryant Court Park.
FY 25-26 Hardee Park & Schumann Park.
FY 26-27 Community Center & Friendship Park
FY 27-28 Riverview Park
Justification: Many playgrounds are in need of replacement within the next few years to better serve our youth population.
May secure grant funding for additional features to the Creative Playground.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 350,000 $ 60,000 $ 120,000 $ 120,000 $ 80,000 $ - $ 730,000
Operating Impact:
$ - $ (70,000) $ (75,000) $ (90,800) $ (104,200) $ (107,200) $ (447,200)
Project Pricing: Pricing is based on the pricing quotes in speaking with numerous vendors this year. The materials costs have
increased drastically over the course of the last year, similar to most other construction materials. J
Project Name: (Park Improvements Project Description:
Funding Source: Recreation Impact Fee Fund Provide funds to Immeditely Address Park Improvements.
Justification: These allocations enable the addressing of park expenditures brought to light by the public or Parks and
Recreation Advisory Committee, so that concerns not budgeted can be addressed without delay.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 20,000 $ 20,000 $ 20,000 $ 20,000 $ 20,000 $ 20,000 $ 120,000
Operating Impact:
$ - $ (4,000) $ (7,600) $ (10,800) $ (13,600) $ (16,000) $ (52,000)
Project Pricing: INo cost estimates provided as these are unexpected park improvements. I
STORMWATER FUND
Project Name: Rubber Tire Excavator Project Description:
Funding Source: Discretionary Sales Tax Replacement for SW686, a 2013 Caterpillar Rubber Tire Excavator.
Justification: The rubber tires of the 313 CAT allow it to be moved throughout the City without degrading the roads as
compared to other pieces of equipment that need to be trailered. It is used every day and we believe it Aill
be more cost effective to sell and replace the vehicle at this time.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 375,000 $ - $ - $ - $ - $ - $ 375,000
Operating Impact:
$ - $ (86,250) $ (63,750) $ (41,250) $ (18,750) $ 3,750 $ (206,250)
Project Pricing: This price was obtained from the Florida Sheriffs Heavy Duty Equipment contract to optimize the cost, as�
the FSA contract receives a reduced cost from the MSRP.
163
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
STORMWATER FUND (CONTINUED)
Project Name: Walk Behind Concrete Saw Project Description:
Funding Source: Stormwater Utility Fund I Purchase of a 20" Walk behind Concrete Saw for concrete removals.
Justification: The Stormwater department uses concrete saws for driveway and sidewalk removals. The current saws are
not designed for such heavy continuous use and we have been seeing increased maintenance costs. At times
we have even rented from local vendors while a saw needed repair. This is a heavy duty unit with a 20"
blade in comparison to our 14"-16" blades and will help complete drainage improvements related to roadway
repavings at a quicker pace.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 10,000 $ - $ - $ - $ - $ - $ 10,000
Operating Impact:
$ - $ (2,000) $ (1,000) $ - $ 1,000 $ 1,400 $ (600)
Project Pricing: I Obtained quotes from various local vendors.
Project Name: I Brush Truck IProject Description:
Funding Source: [Discretionary Sales Tax Replacement for 2007 Sterling Brush Truck.
Justification: The Brush Truck is used for debris removal on a regular basis as well as during hurricane recovery. It is also
regulary used to haul dirt, rock and road base for dreainage maintenance and repair projects. The current
truck will have more than 112,000 miles by the time of replacement.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 122,000 $ - $ - $ - $ - $ - $ 122,000
Operating Impact:
$ - $ (28,060) $ (20,740) $ (13,420) $ (6,100) $ 1,220 $ (67,100)
Project Pricing: IPricing is based on quotes obtained for brush truck replacements for the Roads Division in FY 22-23. I
Project Name: JBackhoe projectbescription:
Funding Source: .]Discretionary Sales Tax (Replacement for SW678 John Deere Backhoe.
Justification: The backhoe is used on a daily basis for digging and excavating at drainage maintenance sites including
culverts and ditches. As a smaller sized piece of equipment, it can be used on smaller to medium job sites.
Extensive maintenance has been required on the current backhoe and it is more cost effective for it to be
replace at this time.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 170,000 $ - $ - $ - $ - $ - $ 170,000
Operating Impact:
$ - $ (39,100) $ (28,900) $ (18,700) $ (8,500) $ 1,700 $ (93,500)
Project Pricing: Pricing has been determined from the Florida Sheriffs Contract pricing. I
Project Name: Slip Lining/Pipe Replacement Project Description:
Funding Source: Stormwater Utility Fund Replacing pipe or sliplining when practical to repair existing drainage
pipe and increase the lifespan.
Justification: Used for failing stormwater pipes. Sliplining avoids open cutting of the roadway and adjacent properties and
is used when the depth and construction is expected to cause excessive damage.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 165,000 $ 182,000 $ 200,000 $ 220,000 $ 242,000 $ 266,000 $ 1,275,000
Operating Impact:
$ - $ (39,600) $ (83,280) $ (129,630) $ (180,610) $ (235,040) $ (668,160)
Project Pricing: Staff recently completed similar projects and has a good idea of the total cost for these projects. These)
estimates take into consideration the recently encountered increase in material cost. II
10
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
STORMWATER FUND (CONTINUED)
Project Name: I Stormwater Facility Pump Project Description:
Funding Source: 1Discretionary Sales Tax Reconfigure the Pump System at the Stormwater Treatment Facility.
Justification: The float switch at the Stormwater treatment facility that pumps water from the canal into the treatment
ponds and wetlands has been manually operated for years, following a failure that occurred on the float
switch. We are looking to replace the pump system and make it automatic once again. This will save the
time needed for visits to turn on and off the pumps. We are also looking to add solar panels to offset the
electrical cost for the pump during peak hours.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 60,000 $ - $ - $ - $ - $ - $ 60,000
Operating Impact:
$ - $ (13,800) $ (10,200) $ (6,600) $ (3,000) $ 600 $ (33,000)
Project Pricing: I Engineered estimate from the Stormwater Master Plan.
Project Name: Schumann Drive Project Description:
Funding Source: I Discretionary Sales Tax Stormwater Improvements for Schumann Drive.
Justification: This project was previously scheduled to be funded by American Rescue Plan Act proceeds but that funding
is being redirected toward street reconstruction projects.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ - $ 750,000 $ - $ - $ - $ - $ 750,000
Operating Impact:
$ - $ - $ (180,000) $ (180,000) $ (172,500) $ (172,500) $ (705,000)
Project Pricing: lEneineered estimate from the Stormwater Master Plan.
Project Name: Canal Restoration Project Description:
Funding Source: Discretionary Sales Tax Fund to An application was made to FEMA for a $23 million dollar project to
Match $1 Million for FEMA Grant restore the canal sides/bottom of the Collier Creek/Elkcam Canal to
of $22 Million over two years. One their original contour.
half of this cost was also budgeted
in FY22-23.
Justification: Significant accumulation of dead vegetation and growth of rooted invasive aquatic species has occurred over
the years in the City's 8.15 mile Collier Creek/Elkcam Canal. Effective maintenance management and
vegetation management requires that these issues be addressed.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 11,500,000 $ - $ - $ - $ _ $ - $ 11,500,000
Operating Impact:
$ - $ (2,760,000) $ (2,760,000) $ (2,645,000) $ (2,645,000) $ (2,530,000) $ 113,340,000)
Project Pricing: I The actual cost will be dependent on the Program eventually adopted.
16s
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
STORMWATER FUND (CONTINUED)
Project Name: I Stonecrop Upstream Drainage Project Description:
Funding Source: 75% FEMA Grant $1,406,250. Alteration of Upstream Areas Draining to the Stonecrop Drainage Basin
25% Matching Requirement from following completion of the Improvements from Stonecrop to Laconia
Discretionary Sales Tax $468,750. Street.
Justification:
Additional upstream work will alter road crossings to increase their size, allowing water to flow with less
restriction to the Stonectrop Basin where it is treated. This will reduce localized flooding upstream. This
project will involve alterations of road crossings at Bayfront Terrace, Albatross Terrace, and Tulip Drive.
Sections of the ditch hat need of stabilization will be armored. We will be applying for Hazard Mitigation
Grant Program funding from FEMA to offset most of the costs of these improvements.
Project Costs:
Project
FY 23-24
FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ -
$ 1,220,000 $ 310,000 $ 345,000 $ - $ - $ 1,875,000
Operating Impact:
$ -
$ - $ (292,800) $ (367,200) $ (437,800) $ (434,700) $ (1,532,500)
Project Pricing:
IAn engineered estimate was provided with the Stormwater Master Plan and peer -reviewed for accuracy.
Project Name:
Tulip Drive Road Crossing Project Description:
Funding Source:
IDiscretionary Sales Tax 1Zcplace Road Crossing Pipes with a Con/Span Open Flow Design.
Justification:
This is a pinch point on a main ditch, where pipes are undersized due to minimal road coverage over the
pipes. It is recommended they be replaced with a Con/Span type open flow design to enhance conveyance.
Roadway improvements will also be needed.
Project Costs:
Project
FY 23-24
FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ -
$ 250,000 $ - $ - $ - $ - $ 250,000
Operating Impact:
$ -
$ - $ (60,000) $ (60,000) $ (57,500) $ (57,500) $ (235,000)
Project Pricing:
IPricing was escalated from previous year sebmittal to allow for construction cost increases.
Project Name:
JBayfront Road Crossing Project Description:
Funding Source:
IDiscretionary Sales Tax
I Change Bayfiont Road Crossing to Con/Span Open Flow Design.
Justification:
This is a main ditch pinch point causing the existing ditch to overflow to residential properties. Using a
con/span open flow design will prevent the existing pipe from being plugged with debris.
Project Costs:
Project
FY 23-24
FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ -
$ - $ 250,000 $ - $ - $ - $ 250,000
Operating Impact:
$ -
$ - $ - $ (60,000) $ (60,000) $ (57,500) $ (177,500)
Project Pricing:
1Pricing was escalated from previous year sebmittal to allow for construction cost increases.
Project Name:
I Ocean Cove Drainage Project Description:
Funding Source:
f Discretionary Sales Tax Design is to Stabilize the Slopes.
Justification:
At times when there are high water levels, the slopes are eroding and encroaching on private property.
Design is to stabilize the slopes and keep the open conveyance of the ditch.
Project Costs:
Project
FY 23-24
FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ -
$ - $ - $ 350,000 $ - $ - $ 350,000
Operating Impact:
$ -
$ - $ - $ - $ (84,000) $ (84,000) $ (168,000)
Project Pricing: I Pricing was escalated from previous year sebmittal to allow for construction cost increases
166
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
GOLF COURSE
Project Name: 'Golf Clubhouse Doors (Project Description:
Funding Source: I Golf Course Replace the Doors on the North and South Entrances.
Justification: The existing doors are over thirty years old. Parts for these doors are virtually impossible to obtain and most
of the internal mechanisms are in a state of disrepair. The doors have gaps in them and the closures are
completely worn, as the doors do not remain steady and closed when air pressure changes, such as when the
doors are opened at the other end of the hallway.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 35,000 $ - $ - $ - $ - $ - $ 35,000
Operating Impact:
$ - $ (11,900) $ (11,900) $ (11,200) $ (11,200) $ (10,500) $ (56,700)
Project Pricing: A small amount was added to a quote obtained from CDA Solutions in December 2022 based on expected
increased prices.
Project Name: Golf Shop Carpet Project Description:
Funding Source: I Golf Course I Replace Carpet in Golf Shop and Offices.
Justification: Carpet is very worn in these high traffic areas. New carpet will be tight -weave, berber style, which is
excellent for players wearing golf (soft) spikes.
Project Costs:
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29
$ 3,800 $ - $ - $ - $ - $ -
Operating Impact:
Project Pricing: +Price obtained from Home Depot and should be more than enough to cover the cost.
Project
Total
$ 3,800
Project Name: Golf Bunker Renovations Project Description:
Funding Source: Golf Course Rebuild Greenside Bunkers, Including Improving the Contours,
Additional Drainage, New Sand and Sod.
Justification: The green -side bunkers have never been renovated. Through the years, many received additional sand as
needed but the drainage of the bunkers has become blocked -up and bunker edges have eroded. After rain,
most bunkers are filled with water and must either by pumped out or wait for a few days for the water to
drain or evaporate. The bunkers are in need of new sand and drain -tile (perforated drain pipe). Rebuilding
would also entail new contours (making some bunkers smaller) and new sod around bunker edges. There is
approximately 75,000 total square feet of bunkers currently. Instead of executing all bunkers in one year, it
could be favorable to both customers and our budget, to do a selected amount of bunkers each year, thus
spreading -out the expense.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 50,000 $ 50,000 $ 50,000 $ 50,000 $ 50,000 $ 50,000 $ 300,000
Operating Impact:
$ - $ (6,500) $ (11,000) $ (13,500) $ (14,000) $ (12,500) $ (57,500)
Project Pricing: Quote obtained from the Golf Course maintenance provider, International Golf Management, Inc. There are
approximately 75,000 square feet of bunkers; 50,000 green -side and 25,000 fairway. $7 per square foot is
the current price for bunker renovation, which includes sod. About 4 to 5 bunkers could be eliminated,
creating a grass area, while others need completely redesigned and shaped.
/67
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
GOLF COURSE (CONTINUED)
Project Name: Golf Maintenance Equipment I Project Description: i
Funding Source: Golf Course Replace Ball Washer.
Justification: Current ball washer is extremely worn. Bearings have to be replaced about every 6 to 8 months at $100 each
time. We will be lucky if the motor can make it through the hot summer, staff understands not to stress
machine out and not run too many golf balls at a time through the current machine.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 3,500 $ - $ - $ - $ - $ - $ 3,500
Operating Impact:
$ - $ (700) $ (350) $ - $ 350 $ 490 $ (210)
Project Pricing: J Price was obtained from the Easy -Picker catalog, which is a vendor frequently used by the Golf Course.
AIRPORT FUND
Project Name: Airport Maintenance Equipment Project Description:
Funding Source: Airport Fund 23-24 15' Deck Bush Hog Mower
24-25 Zero Turn Mower
Justification: The 15' Deck Bush Hog Mower is a replacement of a 15 year old unit that requires fi-equent repairs .The
Zero Turn Mower replaces AP21 which is ten years old and due for replacement.
Project Costs:
FY 23-24 FY 24-25 FY 25-26
$ 35,000 $ 9,000 $ - $
Operating Impact:
$ - $ (7,000) $ (5,300) $
Project Pricing: (Based on Staffs estimate of costs.
FY 26-27
FY 27-28
(900) $ 3,500 $
Project
FY 28-29 Total
- $ 44,000
5,800 $ (3,900)I
1
Project Name: Airport Backhoe Loader Project Description:
Funding Source: Airport Fund I Replace Backhoe Loader.
Justification: The current unit will be 20 years old and will need to be replaced.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ - $ - $ - $ - $ 65,000 $ - $ 65,000
Operating Impact:
$ - $ - $ - $ - $ - $ (14,950) $ (14,950)
Project Pricing: I Current quotes estimate the cost for a comparable John Deere tractor to be $75,000 at Everglades Equipment
Project Name: JAirport Tractor/Mower Deck Project Description:
Funding Source: JAirport Fund Replace 2001 Mowing Tractor AP03 John Deere 5520. The
Justification: This Tractor is in need of replacement, at over 20 years old. This equipment is necessary for ongoing, regular
+Airfield maintenance and mowing. Then within a few years the mower deck should also be replaced.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 80,000 $ - $ 30,000 $ - $ - $ - $ 110,000
Operating Impact:
$ - $ (16,000) $ (8,000) $ (6,000) $ 5,000 $ 11,200 $ (13,800)
Project Pricing: Current quotes estimate the cost for a comparable John Deere tractor to be $75,000 at Everglades Equipment
Corp, and for a Kubota equivalent from Sourcewell, via Florida Coast Equipment at $73,000. Pricing has
been Increased for possible price increases.
/68
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
AIRPORT FUND (CONTINUED)
Project Name:
Aircraft Wash Rack Project Description:
Funding Source:
80% FDOT Grant $100,000. Complete Construction of Wash Rack Faciltiy.
20% Matching Requirements from
Airrort Fund $25.000.
Justification:
The Airport lacks an environmentally suitable area to wash aircraft. Years ago, work started but was paused
due to insufficient funds to complete the construction. This grant will allow completion of the project and
keep the Airport in compliance with state and local water run-off regulations.
Project Costs:
Project
FY 23-24
FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ -
$ - $ 125,000 $ - $ - $ - $ 125,000
Operating Impact:
$ -
$ - $ - $ (16,250) $ 2,500 $ 21,250 $ 7,500
Project Pricing:
IBased on funding anticipated.
Project Name:
l Airport Equipment Shelter Project Description:
Funding Source:
80% FDOT Grant $40,000. Construct Airport Equipment Shelter.
20% Matching Requirements from
Airport Fund $10,000.
Justification:
The Airport lacks adequate shelter to park valuable maintenance equipment. A new parking shelter will
protect equipment from the elements, save on equipment maintenance and prolong the equipment life.
Project Costs:
Project
FY 23-24
FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ -
$ - $ - $ 50,000 $ - $ - $ 50,000
Operating Impact:
- (6,500) 1,000 $ (5,500)
Project Pricing: Based on funding anticipated.
Project Name: Construct Shade Hangar Project Description:
Funding Source: 80% FDOT Grant $1,040,000. Engineering and Construction of 3rd Shade Hangar by the Two Existing
20% Matching Requirements from Shade Hangars.
Discretionary Sales Tax $260,000.
Justification: I Existing Shade Hangars are 100% occupied and have a waiting list. There is room to add a 3rd Shade
Hangar to serve more aircraft owners and create more revenue for the Airport. I
Project Costs:
Project
FY 23-24
FY 24-25 FY 25-26
FY 26-27 FY 27-28 FY 28-29
Total
$ -
$ - $ 1,300,000
$ - $ - $ - $
1,300,000
Operating Impact:
$ -
$ - $ -
$ (117,000) $ (104,000) $ (78,000) $
(299,000)
Project Pricing:
JBased on funding anticipated.
Project Name:
Construct Square Hangars
Project Description:
Funding Source:
80% FDOT Grant $1,256,000.
Construction of Four Square Hangers.
20% Matching Requirements from
Discretionary Sales Tax $314,000.
Justification: I Square Hangars will be leased to new tenants such as small aeronautical businesses to create revenue andl
new jobs. Existing Shade Hangars are 100% occupied and have a waiting list. II
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 1,570,000 $ - $ - $ - $ - $ - $ 1,570,000
Operating Impact:
$ - $ (141,300) $ (125,600) $ (94,200) $ (78,500) $ (47,100) $ (486,700)
Project Pricing: Based on funding anticipated but cost should be less since additional sites were prepared when the previouslyl
hangars were constructed.
169
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
AIRPORT FUND (CONTINUED)
Project Name: lRunway 10-28 Markings Project Description:
Funding Source: 80% FDOT Grant $37,816. Repaintng of Runway 10-28 and Taxiway Bravo Markings,
20% Matching Requirements from
Airport Fund $9,454.
Justification: Runway 10-28 and Taxiway Bravo paint markings are excessively worn and faded.
Project Costs:
FY 23-24 FY 24-25 FY 25-26
$ 47,270 $ - $ - $
Operating Impact:
$ - $ (8,981) $ (8,509) $
Project Pricing: I Based on funding anticipated.
Project
FY 26-27 FY 27-28 FY 28-29 Total
- $ - $ - $ 47,270
(7,091) $ (6,618) $ (5,200) $ (36,398)
1
Project Name: Runway 05-23 Rehabilitation Project Description:
Funding Source: FAA 90% Grant $1,533,441. Complete Project to Resurface Runway 05-23 and Install New
FDOT 5% Grant $85,191. Upgraded Lighting.
5% Matching Requirements from
Discretionary Sales Tax $85,191.
Justification: This will fund the second half of the construction phase that is expected to be initiated before the end of
FY22-23. This runways asphalt has deteriorated to the point that it must be rehabilitated and brought back up
to serviceable condition.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 1,703,823 $ - $ - $ - $ - $ - $ 1,703,823
Operating Impact:
$ - $ (323,726) $ (306,688) $ (255,573) $ (238,535) $ (187,421) $ (1,311,944)
Project Pricing: (Based on funding anticipated.
Project Name: IDesign Taxiway Golf Project Description:
Funding Source: FDOT 80% Grant $172,400. Design Taxiway Golf on Top of Runway 13-31
20% Matching Requirements from
Discretionary Sales Tax $43,100.
Justification: Taxiway Golf will serve as a taxiway and apron built upon the old Runway 13-31 on the north end of the
Airport. This will provide additional needed aircraft movement surface and will be the first phase of
preparing the same area for future hangars and businesses.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ - $ 215,500 $ - $ - $ - $ - $ 215,500
Operating Impact:
$ - $ - $ (40,945) $ (38,790) $ (32,325) $ (30,170) $ (142,230)
Project Pricing: IBased on funding anticipated.
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
AIRPORT FUND (CONTINUED)
Project Name: !Construct Taxiway Golf Project Description:
Funding Source: 80% FDOT Grant $1,580,160. Construct Taxiway Golf and Apron.
20% Matching Requirements from
Discretionary Sales Tax $395,040.
Justification: Taxiway Golf will serve as a taxiway and apron built upon the old Runway 13-31 on the north end of the
Airport. This will provide additional needed aircraft movement surface and will be the first phase of
preparing the same area for future hangars and aviation business development
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ - $ 987,600 $ 987,600 $ - $ - $ - $ 1,975,200
Operating Impact:
$ - $ - $ (187,644) $ (365,412) $ (325,908) $ (286,404) $ (1,165,368)
Project Pricing: 'Based on funding anticipated.
Project Name: Design Taxiway Bravo Rehab Project Description:
Funding Source:
FAA 90% Grant $207,000.
Design Taxiway Golf on Top of Runway 13-31.
FDOT 5% Grant $11,500.
5% Matching Requirements from
Discretionary Sales Tax $11,500.
Justification:
Portions of Taxiway Bravo are approaching acceptable minimums and will need rehabilitation to remain in�
Iserviceable condition.
Project Costs:
Project
FY 23-24
FY 24-25 FY 25-26
FY 26-27 FY 27-28 FY 28-29
Total
$ -
$ - $ -
$ - $ - $ 230,000 $
230,000
Operating Impact:
$ -
$ - $ -
$ - $ - $ - $
-
Project Pricing:
!Based on funding anticipated.
Project Name:
+Reconstruct Alpha Apron
Project Description:
Funding Source:
80% FDOT Grant $180,000.
Reconstruct and Repave Two Taxiway Alpha Aprons
20% Matching Requirements from
Discretionary Sales Tax $45,000.
Justification:
The public side of the airport is lacking in available aircraft parking/tie-down spaces, especially for guests
and transient traffic. The proposed
planning will double our available spaces from 5 to 10.
Project Costs:
Project
FY 23-24
FY 24-25 FY 25-26
FY 26-27 FY 27-28 FY 28-29
Total
$ -
$ - $ 225,000
$ - $ - $ - $
225,000
Operating Impact:
$ -
$ - $ -
$ (42,750) $ (40,500) $ (33,750) $
(117,000)
Project Pricing: ,Based on funding anticipated.
1-7r
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
AIRPORT FUND (CONTINUED)
Project Name: ITerminal Akron Expansion Project Description:
Funding Source: 80% FDOT Grant $960,000. Construction of Terminal Ramp Expansion area
20% Matching Requirements from
Discretionary Sales Tax $240,000.
Justification: The public side of the airport is lacking in available aircraft parking/tie-down spaces, especially for guests)
and transient traffic. The proposed planning will double our available spaces from 5 to 10. it
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ - $ - $ - $ 1,200,000 $ - $ - $ 1,200,000
Operating Impact:
$ - $ - $ - $ - $ (228,000) $ (216,000) $ (444,000)
Project Pricing: )Based on funding anticipated. However FAA participation maybe possible.
Project Name: IDesign NW Airport Access Project Description:
Funding Source: 80% FDOT Grant $200,000. Design an Access Road and Provide Utilities Infrastructure on the
20% Matching Requirements from Northwest Portion of the Airport.
Discretionary Sales Tax $50,000.
Justification: The growth of the Airport is reliant on the available space on the Northwest part of the field, along the closed
Runway 13-31. This project will follow the new Taxiway/Apron Golf and focus on making the new,
buildable spaces along that apron ready for future construction & tenant growth.
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ - $ - $ - $ 250,000 $ - $ - $ 250,000
Operating Impact:
$ - $ - $ - $ - $ (47,500) $ (45,000) $ (92,500)
Project Pricing: I Based on funding anticipated. However FAA participation maybe possible.
Project Name: Construct NW Airport Access Project Description:
Funding Source: 80% FDOT Grant $2,400,000. Construction of an Access Road and Provide Utilities Infrastructure on
20% Matching Requirements from the Northwest Portion of the Airport.
Discretionary Sales Tax $600,000.
Justification: The growth of the Airport is reliant on the available space on the Northwest part of the field, along the closed
Runway 13-31. This project will follow the new Taxiway/Apron Golf and focus on making the new,
buildable spaces along that apron ready for future construction & tenant growth.
Project Costs:
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28
$ - $ - $ - $ - $ 3,000,000 $
Operating Impact:
Project Pricing: I Based on funding anticipated. However FAA participation maybe possible.
Project
FY 28-29 Total
- $ 3,000,000
(270,000) $ (270,000
I
172
CITY OF SEBASTIAN, FLORIDA
FISCAL YEAR 2024-2029
CAPITAL IMPROVEMENT PROJECT REQUEST AND JUSTIFICATION FORM
BUILDING FUND
Project Name: Building Department Truck Project Description:
Funding Source: Building Department Fund I Replace a Truck in the Building Department.
Justification: j The Building Department would be best served to replace one of the existing trucks that has the highest)
mileage and most wear. II
Project Costs: Project
FY 23-24 FY 24-25 FY 25-26 FY 26-27 FY 27-28 FY 28-29 Total
$ 30,000 $ - $ - $ - $ - $ - $ 30,000
Operating Impact:
$ - $ (6,000) $ (3,000) $ - $ 3,000 $ 4,200 $ (1,800)
Project Pricing: Based on estimated cost of a suitable truck.
$ 25,826,316 $ 9,280,797 $ 7,117,378 $ 6,798,585 $ 6,971,549 $ 3,668,876 $ 59,663,500
113
IMPACTS OF CAPITAL OUTLAYS ON OPERATING COST
CALCULATION CRITERIA
Capital Improvements may impact operating costs in several ways. To quantify the amount various projects will generally impact
operating costs, the City applies four main factors, adjusted by the expected years of useful life. These factors are maintenance,
efficiency, risk management and replacement. If applicable, some items may be further adjusted to reflect offsets from anticipated
revenues the item will generate.
Year of 1 Year 2 Years 3 Years 4 Years 5 Years
Purchase After After After After After
Maintenance Factor - As items get older, costs for maintaining them will increase. Annual amount should not exceed 100 %
30+ Year Useful Life
0%
1%
2%
3%
4%
5%
20 Year Useful Life
0%
2%
4%
6%
8%
10%
10 Year Useful Life
0%
3%
6%
9%
12%
15%
7 Year Useful Life
0%
5%
10%
15%
20%
25%
5 Year Useful Life
0%
7%
14%
21%
28%
35%
3 Year Useful Life
0%
10%
20%
30%
40%
50%
Efficiency Factor - As items get older, the initially improved efficiency declines. Annual amount could be a loss in subsequent years.
30+ Year Useful Life
0%
-10%
-10%
-9%
-9%
-8%
20 Year Useful Life
0%
-10%
-9%
-8%
-7%
-6%
10 Year Useful Life
0%
-10%
-8%
-6%
-4%
-2%
7 Year Useful Life
0%
-10%
-7%
-4%
-i%
2%
5 Year Useful Life
0%
-10%
-6%
-2%
2%
4%
3 Year Useful Life
0%
-10%
-5%
0%
5%
10%
Risk Management Factor - items may have savings by reducing liability exposure. Annual amount should not be positive
30+ Year Useful Life
0%
-10%
-10%
-9%
-9%
-8%
20 Year Useful Life
0%
-10%
-9%
-8%
-7%
-6%
10 Year Useful Life
0%
-10%
-8%
-6%
-4%
-2%
7 Year Useful Life
0%
-10%
-7%
-4%
-1%
0%
5 Year Useful Life
0%
-10%
-6%
-2%
0%
0%
3 Year Useful Life
0%
-10%
-5%
0%
0%
0%
Replacement Factor - A savings would occur by taking replaced items out of service.Annual amount would continue to compound.
30+ Year Useful Life
0%
-15%
-16%
-17%
-18%
-19%
20 Year Useful Life
0%
-12%
-13%
-14%
-15%
-16%
10 Year Useful Life
0%
-6%
-7%
-8%
-9%
-10%
7 Year Useful Life
0%
-5%
-6%
-7%
-8%
-9%
5 Year Useful Life
0%
-4%
-5%
-6%
-7916
-8%
3 Year Useful Life
0%
-3%
-4%
-5%
-6%
-7%
Revenue Factor - Some items may be offset by additional revenue. These are handled on a case -by -case basis.
IMPACTS OF CAPITAL IMPROVEMENT PROJECTS ON OPERATING COST
CALCULATIONS
BY PROJECT
Life
List of Proiects
Years FY 2023-24
FY 2024-25
FY 2025-26
FY 2026-27
FY 2027-28
FY 2028-29
General Government
Vx Rail Lease Payments
5 43,195
45,355
45,355
45,355
45,355
45,355
Maintenance
-
3,024
9,222
18,595
31,144
46,867
Efficiency
-
(4,320)
(7,127)
(8,121)
(7,300)
(5,529)
Risk
-
(4,320)
(7,127)
(8,121)
(8,164)
(8,164)
Total
-
(5,615)
(5,032)
2,354
15,680
33,174
City Wide Computers
5 45,000
35,000
45,000
35,000
45,000
35,000
Maintenance
-
3,150
8,750
17,500
28,700
43,050
Efficiency
(4,500)
(6,200)
(7,500)
(6,000)
(5,000)
Risk
(4,500)
(6,200)
(7,500)
(6,900)
(7,500)
Replacement
(1,800)
(3,650)
(6,250)
(8,900)
(12,300)
Total
-
(7,650)
(7,300)
(3,750)
6,900
18,250
COSty Equipment
5 15,000
15,000
15,000
15,000
15,000
15,000
Maintenance
-
1,050
3,150
6,300
10,500
15,750
Efficiency
-
(1,500)
(2,400)
(2,700)
(2,400)
(1,800)
Risk
-
(1,500)
(2,400)
(2,700)
(2,700)
(2,700)
Replacement
-
(600)
(1,350)
(2,250)
(3,300)
(4,500)
Total
-
(2,550)
(3,000)
(1,350)
2,100
6,750
Network Infrastructure
5 30,000
30,000
30,000
30,000
30,000
30,000
Maintenance
-
2,100
6,300
12,600
21,000
31,500
Efficiency
-
(3,000)
(4,800)
(5,400)
(4,800)
(3,600)
Risk
-
(3,000)
(4,800)
(5,400)
(5,400)
(5,400)
Replacement
-
(1,200)
(2,700)
(4,500)
(6,600)
(9,000)
Total
-
(5,100)
(6,000)
(2,700)
4,200
13,500
Core and Remote Switches
5 60,000
-
-
-
-
-
Maintenance
-
4,200
8,400
12,600
16,800
21,000
Efficiency
(6,000)
(3,600)
(1,200)
1,200
2,400
Risk
(6,000)
(3,600)
(1,200)
-
-
Replacement
(2,400)
(3,000)
(3,600)
(4,200)
(4,800)
Total
-
(10,200)
(1,800)
6,600
13,800
18,600
Security Cameras
5 30,000
-
-
-
-
-
Maintenance
-
2,100
4,200
6,300
8,400
10,500
Efficiency
(3,000)
(1,800)
(600)
600
1,200
Risk
(3,000)
(1,800)
(600)
-
-
Total
-
(3,900)
600
5,100
9,000
11,700
Sidewalk Assurance System
5 50,000
-
-
-
-
-
Maintenance
-
3,500
7,000
10,500
14,000
17,500
Efficiency
(5,000)
(3,000)
(1,000)
1,000
2,000
Risk
(5,000)
(3,000)
(1,000)
-
-
Total
-
(6,600)
1,000
8,500
15,000
19,500
Cybersecurity Features
5 30,000
-
-
-
-
-
Maintenance
-
2,100
4,200
6,300
8,400
10,500
Efficiency
(3,000)
(1,800)
(600)
600
1,200
Risk
(3,000)
(1,800)
(600)
-
-
Total
-
(3,900)
600
5,100
9,000
11,700
Public Works Compound Firewall
5 75,000
-
-
-
-
-
Maintenance
-
5,250
10,500
15,750
21,000
26,250
Efficiency
(7,500)
(4,500)
(1,500)
1,500
3,000
Risk
(7,500)
(4,500)
(1,500)
-
-
Total
-
(9,750)
1,500
12,750
22,500
29,250
Capital
Totals
269,969
240,000
90,000
180,000
60,000
30,000
50,000
30,000
75,000
IMPACTS OF CAPITAL IMPROVEMENT PROJECTS ON OPERATING COST
CALCULATIONS BY PROJECT
Life
Capital
List of Projects
Years FY 2023-24
FY 2024-25
FY 2025-26
FY 2026-27
FY 2027-28
FY 2028-29
Totals
Police Department
Police Vehicles
7 620,431
485,383
373,152
391,809
411,400
431,970
2,714,145
Maintenance
-
31,022
86,312
160,261
253,799
367,908
Efficiency
-
(62,043)
(91,968)
(96,109)
(90,921)
(100,755)
Risk
-
(62,043)
(91,968)
(96,109)
(90,921)
(88,347)
Replacement
-
(31,022)
(61,495)
(91,211)
(125,591)
(164,869)
Total
-
(124,086)
(159,120)
(123,169)
(53,634)
13,938
Vehicle/Body Cameras
7 88,776
88,776
93,776
93,776
93,776
93,776
552,656
Maintenance
-
4,439
13,316
26,883
45,138
68,082
Efficiency
(8,878)
(15,092)
(19,143)
(20,381)
(22,356)
Risk
-
(8,878)
(15,092)
(19,143)
(20,381)
(20,581)
Replacement
(4,439)
(9,765)
(16,230)
(23,632)
(31,972)
Total
-
(17,755)
(26,633)
(27,633)
(19,255)
(6,827)
CAD/RMS System Update
7 60,775
60,775
60,775
60,775
60,775
60,775
364,650
Maintenance
-
4,254
12,763
25,526
42,543
63,814
Efficiency
-
(6,078)
(9,724)
(10,940)
(9,724)
(7,293)
Risk
-
(6,078)
(9,724)
(10,940)
(10,940)
(10,940)
Replacement
-
(2,431)
(5,470)
(9,116)
(13,371)
(18,233)
Total
-
(10,332)
(12,155)
(5,470)
8,509
27,349
Road Patrol Equipment
7 29,260
34,800
8,500
8,500
8,500
8,500
98,060
Maintenance
-
1,463
4,666
8,294
12,347
16,825
Efficiency
(2,926)
(5,528)
(4,456)
(3,130)
(2,718)
Risk
(2,926)
(5,528)
(4,456)
(3,130)
(2,133)
Replacement
(1,463)
(3,496)
(4,561)
(5,712)
(6,947)
Total
-
(5,852)
(9,886)
(5,180)
376
5,026
Indoor Firearms Range
30+ 5,000,000
-
-
-
-
-
5,000,000
Maintenance
-
50,000
100,000
150,000
200,000
250,000
Efficiency
(500,000)
(500,000)
(450,000)
(450,000)
(400,000)
Risk
(500,000)
(500,000)
(450,000)
(450,000)
(400,000)
Total
(950,000)
(900,000)
(750,000)
(700,000)
(550,000)
Investigations Equipment
7 11,500
-
-
-
-
-
11,500
Maintenance
-
575
1,150
1,725
2,300
2,875
Efficiency
(1,150)
(805)
(460)
(115)
(230)
Risk
(1,150)
(805)
(460)
(115)
-
Total
-
(1,725)
(460)
805
2,070
2,645
Community Development Department
Working Waterfront Expansion
30+ 120,000
500,000
500,000
500,000
-
-
1,620,000
Maintenance
-
1,200
7,400
18,600
34,800
51,000
Efficiency
-
(12,000)
(62,000)
(110,800)
(155,800)
(149,600)
Total
-
(10,800)
(54,600)
(92,200)
(121,000)
(98,600)
Central Avenue Catalyst Site
30+ -
-
-
500,000
-
500,000
Maintenance
-
-
-
-
5,000
Efficiency
-
-
-
-
(50,000)
Total
-
-
-
-
(45,000)
CDBG Grant Program
n/a 150,000
150,000
150,000
150,000
150,000
150,000
900,000
Riverview Park Master Plan
30+ -
500,000
500,000
-
-
-
1,000,000
Maintenance
-
5,000
15,000
25,000
35,000
Efficiency
(50,000)
(100,000)
(95,000)
(90,000)
Total
-
(45,000)
(85,000)
(70,000)
(55,000)
Riverview Park Event Center
30+ -
1,000,000
-
-
1,000,000
Maintenance
-
-
-
10,000
20,000
Efficiency
-
-
(100,000)
(100,000)
Total
-
-
(90,000)
(80,000)
Community Development Offices
30+ 88,500
-
-
-
88,500
Maintenance
-
885
1,770
2,655
3,540
4,425
Efficiency
(8,850)
(8,850)
(7,965)
(7,965)
(7,080)
Risk
(8,850)
(8,850)
(7,965)
(7,965)
(7,080)
Replacement
-
(13,275)
(14,160)
(15,045)
(15,930)
(16,815)
Total
-
(30,090)
(30,090)
(28,320)
(28,320)
(26,550)
IMPACTS OF CAPITAL IMPROVEMENT PROJECTS ON OPERATING COST
CALCULATIONS BY PROJECT
List of Pro'ects
Roads Department
Pavement Grinder
Maintenance
Efficiency
Risk
Total
Vinyl Printer
Maintenance
Efficiency
Risk
Replacement
Total
Enclosed Trailer
Maintenance
Efficiency
Risk
Replacement
Total
Street Repaving
Maintenance
Risk
Replacement
Total
Street Reconstruction
Maintenance
Efficiency
Risk
Total
Sidewalk Replacement
Maintenance
Risk
Replacement
Total
Traffic Analyzers (2)
Maintenance
Risk
Replacement
Total
Air Compressor Jack Hammer
Maintenance
Efficiency
Risk
Replacement
Total
Sign Shop Truck
Maintenance
Efficiency
Risk
Replacement
Total
Life
Years FY 2023-24
10 22,000
5 6,000
10
10
30+
10
10
10
7
8,000
533,423
1,780,163
75,000
3,500
28,400
75,000
FY 2024-25
FY 2025-26
FY 2026-27
FY 2027-28
FY 2028-29
440
880
1,320
1,760
2,200
(2,200)
(1,980)
(1,760)
(1,540)
(1,320)
(2,640)
(2,860)
(3,080)
(3,300)
(3,520)
(4,840)
(4,840)
(4,840)
(4,840)
(4,840)
420
840
1,260
1,680
2,100
(600)
(360)
(120)
120
240
(600)
(360)
(120)
-
-
(240)
(300)
(360)
(420)
(480)
(1,440)
(1,020)
(600)
(300)
(240)
160
320
480
640
800
(800)
(720)
(640)
(560)
(480)
(960)
(1,040)
(1,120)
(1,200)
(1,280)
(1,600)
(1,440)
(1,280)
(1,120)
(960)
(3,360)
(3,200)
(3,040)
(2,880)
(2,720)
1,099,840
772,192
569,552
392,611
417,500
16,003
65,001
137,164
226,414
327,443
(53,342)
(152,668)
(197,212)
(206,058)
(185,819)
(32,005)
(103,330)
(165,994)
(224,222)
(277,529)
(69,345)
(190,987)
(226,042)
(203,865)
(135,904)
1,209,768
801,028
1,017,818
1,614,132
1,670,000
89,008
238,505
428,053
668,491
989,637
(178,016)
(245,588)
(235,993)
(224,046)
(312,402)
(178,016)
(245,588)
(235,993)
(224,046)
(276,799)
(267,024)
(252,672)
(43,934)
220,399
400,435
75,000
75,000
75,000
75,000
75,000
2,250
6,750
13,500
22,500
33,750
(7,500)
(13,500)
(18,000)
(21,000)
(22,500)
(4,500)
(9,750)
(15,750)
(22,500)
(30,000)
(9,750)
(16,500)
(20,250)
(21,000)
(18,750)
105
210
315
420
525
(350)
(280)
(210)
(140)
(70)
(210)
(245)
(280)
(315)
(350)
(455)
(315)
(175)
(35)
105
1,420
2,840
4,260
5,680
7,100
(2,840)
(1,988)
(1,136)
(284)
(568)
(2,840)
(1,988)
(1,136)
(284)
-
(1,420)
(1,704)
(1,988)
(2,272)
(2,556)
(5,680)
(2,840)
-
2,840
3,976
3,750
7,500
11,250
15,000
18,750
(7,500)
(5,250)
(3,000)
(750)
(1,500)
(7,500)
(5,250)
(3,000)
(750)
(3,750)
(4,500)
(5,250)
(6,000)
(6,750)
(15,000)
(7,500)
7,500
10,500
1-77
Capital
Totals
22,000
6,000
8,000
3,785,118
8,092,909
450,000
3,500
28,400
75,000
IMPACTS OF CAPITAL IMPROVEMENT PROJECTS ON OPERATING COST
CALCULATIONS BY PROJECT
Life
Capltal
List of Projects
Years
FY 2023-24 FY 2024-25
FY 2025-26
FY 2026-27
FY 2027-28
FY 2028-29
Totals
Public Facilities Department
Facilities Maintenance Vehicles
10
63,000 -
-
45,000
-
-
108,000
Maintenance
- 1,890
3,780
5,670
8,910
12,150
Risk
(6,300)
(5,040)
(3,780)
(7,020)
(4,860)
Replacement
(3,780)
(4,410)
(5,040)
(8,370)
(9,450)
Total
- (8,190)
(5,670)
(3,150)
(6,480)
(2,160)
Air Conditioner Replacement
10
25,000 30,000
30,000
35,000
35,000
40,000
195,000
Maintenance
- 750
2,400
4,950
8,550
13,200
-
Efficiency
(2,500)
(5,000)
(6,900)
(8,700)
(9,800)
Replacement
(1,500)
(3,550)
(5,900)
(8,850)
(12,150)
Total
- (3,250)
(6,150)
(7,850)
(9,000)
(8,750)
-
Roof Replacements
10
17,000 -
-
-
-
-
17,000
Maintenance
- 510
1,020
1,530
2,040
2,550
-
Efficiency
(1,700)
(1,360)
(1,020)
(680)
(340)
Risk
- (1,700)
(1,360)
(1,020)
(680)
(340)
Replacement
- (1,020)
(1,190)
(1,360)
(1,530)
(1,700)
Total
- (3,250)
(6,150)
(7,850)
(9,000)
(8,750)
-
Senior Center Roof Replacement
15
60,000 -
-
-
-
-
60,000
Maintenance
- 4,200
8,400
12,600
16,800
21,000
Efficiency
(6,000)
(3,600)
(1,200)
1,200
2,400
Risk
(6,000)
(3,600)
(1,200)
-
-
Replacement
(2,400)
(3,000)
(3,600)
(4,200)
(4,800)
Total
(10,200)
(1,800)
6,600
13,800
18,600
Art Center Roofing
15
30,000
-
-
-
-
30,000
Maintenance
-
2,100
4,200
6,300
8,400
Efficiency
-
(3,000)
(1,800)
(600)
600
Risk
-
(3,000)
(1,800)
(600)
-
Replacement
- -
(1,200)
(1,500)
(1,800)
(2,100)
Total
-
(5,100)
(900)
3,300
6,900
Cemetery Division
Cemetery Equipment
5
14,000 -
-
13,000
16,000
-
43,000
Maintenance
- 980
1,960
2,940
4,830
7,840
Efficiency
(1,400)
(840)
(280)
(1,020)
(1,820)
Risk
- (1,400)
(840)
(280)
(1,300)
(2,380)
Replacement
- (560)
(700)
(840)
(1,500)
(2,410)
Total
- (2,380)
(420)
1,540
1,010
1,230
Cemetery Vehicle
7
- -
-
40,000
-
-
40,000
Maintenance
- -
-
2,800
5,600
Efficiency
- -
-
(4,000)
(2,400)
Risk
- -
-
(4,000)
(2,400)
Replacement
- -
-
(1,600)
(2,000)
Total
- -
-
-
(6,800)
(1,200)
Cemetery Irrigation Pump
15
10,000 -
-
40,000
-
-
50,000
Maintenance
- 700
1,400
2,100
5,600
9,100
Efficiency
(1,000)
(600)
(200)
(3,800)
(2,000)
Risk
(1,000)
(600)
(200)
(4,000)
(2,400)
Total
(1,300)
200
1,700
(2,200)
4,700
Columbarium Niches
30+
95,000
-
-
-
-
95,000
Maintenance
-
950
1,900
2,850
3,800
Efficiency
-
(9,500)
(9,500)
(8,550)
(8,550)
Risk
-
(9,500)
(9,500)
(8,550)
(8,550)
Total
-
(18,050)
(17,100)
(14,250)
(13,300)
IMPACTS OF CAPITAL IMPROVEMENT PROJECTS ON OPERATING COST
CALCULATIONS BY PROJECT
Life
List of Proiects
Years FY 2023-24
FY 2024-25
FY 2025-26
FY 2026-27
FY 2027-28
FY 2028-29
Cemetery Division (Continued)
Cemetery Grounds Maintenance
165,000
-
-
-
-
-
Leisure Services Department
Maintenance Equipment
5 23,000
12,000
-
28,000
22,000
30,000
Maintenance
-
1,610
4,060
6,510
10,920
16,870
Efficiency
-
(2,300)
(2,580)
(1,180)
(2,580)
(2,720)
Risk
-
(2,300)
(2,580)
(1,180)
(3,040)
(3,880)
Replacement
-
(920)
(1,630)
(1,980)
(3,450)
(4,960)
Total
-
(3,910)
(2,730)
2,170
1,850
5,310
Parks Division Vehicles
7 -
40,000
-
-
-
-
Maintenance
-
-
2,000
4,000
6,000
8,000
Efficiency
-
-
(4,000)
(2,800)
(1,600)
(400)
Risk
-
-
(4,000)
(2,800)
(1,600)
(400)
Replacement
-
-
(2,000)
(2,400)
(2,800)
(3,200)
Total
-
-
(8,000)
(4,000)
4,000
Parks Maintenance Shed
20 15,000
-
-
-
-
-
Maintenance
-
300
600
900
1,200
1,500
Efficiency
(1,500)
(1,350)
(1,200)
(1,050)
(900)
Risk
(1,500)
(1,350)
(1,200)
(1,050)
(900)
Total
(2,700)
(2,100)
(1,500)
(900)
(300)
Splash Pad Replacement
20 -
1,000,000
-
-
-
-
Maintenance
-
-
20,000
40,000
60,000
80,000
Efficiency
-
(100,000)
(90,000)
(80,000)
(70,000)
Risk
-
(100,000)
(90,000)
(80,000)
(70,000)
Replacement
-
-
(120,000)
(130,000)
(140,000)
(150,000)
Total
-
-
(300,000)
(270,000)
(240,000)
(210,000)
Friendship Park Baseball Field
20 25,000
-
-
-
-
-
Maintenance
-
500
1,000
1,500
2,000
2,500
Efficiency
(2,500)
(2,250)
(2,000)
(1,750)
(1,500)
Risk
(2,500)
(2,250)
(2,000)
(1,750)
(1,500)
Replacement
(3,000)
(3,250)
(3,500)
(3,750)
(4,000)
Total
-
(7,500)
(6,750)
(6,000)
(5,250)
(4,500)
Playground Improvements
20 350,000
60,000
120,000
120,000
80,000
-
Maintenance
-
7,000
15,200
25,800
38,800
53,400
Risk
(35,000)
(37,500)
(45,400)
(52,100)
(53,600)
Replacement
(42,000)
(52,700)
(71,200)
(90,900)
(107,000)
Total
-
(70,000)
(75,000)
(90,800)
(104,200)
(107,200)
Park Improvements
20 20,000
20,000
20,000
20,000
20,000
20,000
Maintenance
-
400
1,200
2,400
4,000
6,000
Risk
-
(2,000)
(3,800)
(5,400)
(6,800)
(8,000)
Replacement
-
(2,400)
(5,000)
(7,800)
(10,800)
(14,000)
Total
-
(4,000)
(7,600)
(10,800)
(13,600)
(16,000)
Capital
Totals
165,000
115,000
40,000
15,000
1,000,000
25,000
730,000
120,000
IMPACTS OF CAPITAL IMPROVEMENT PROJECTS ON OPERATING COST
CALCULATIONS BY PROJECT
Life
List of Proiects
Years FY 2023-24
FY 2024-25
FY 2025-26
FY 2026-27
FY 2027-28
FY 2028-29
Stormwater Department
Rubber Tire Excavator
10 375,000
-
-
-
-
-
Maintenance
-
11,250
22,500
33,750
45,000
56,250
Efficiency
(37,500)
(30,000)
(22,500)
(15,000)
(7,500)
Risk
(37,500)
(30,000)
(22,500)
(15,000)
(7,500)
Replacement
(22,500)
(26,250)
(30,000)
(33,750)
(37,500)
Total
-
(86,250)
(63,750)
(41,250)
(18,750)
3,750
Walk Behind Concrete Saw
5 10,000
-
-
-
-
-
Maintenance
-
500
1,000
1,500
2,000
2,500
Efficiency
(1,000)
(700)
(400)
(100)
(200)
Risk
(1,000)
(700)
(400)
(100)
-
Rep/acement
(500)
(600)
(700)
(800)
(900)
Total
-
(2,000)
(1,000)
-
1,000
1,400
Brush Truck
10 122,000
-
-
-
-
-
Maintenance
-
3,660
7,320
10,980
14,640
18,300
Efficiency
-
(12,200)
(9,760)
(7,320)
(4,880)
(2,440)
Risk
-
(12,200)
(9,760)
(7,320)
(4,880)
(2,440)
Replacement
-
(7,320)
(8,540)
(9,760)
(10,980)
(12,200)
Total
-
(28,060)
(20,740)
(13,420)
(6,100)
1,220
Backhoe
10 170,000
-
-
-
-
Maintenance
-
5,100
10,200
15,300
20,400
25,500
Efficiency
-
(17,000)
(13,600)
(10,200)
(6,800)
(3,400)
Risk
-
(17,000)
(13,600)
(10,200)
(6,800)
(3,400)
Replacement
-
(10,200)
(11,900)
(13,600)
(15,300)
(17,000)
Total
-
(39,100)
(28,900)
(18,700)
(8,500)
1,700
Slip Lining/Pipe Replacement
30+ 165,000
182,000
200,000
220,000
242,000
266,000
Maintenance
-
1,650
5,120
10,590
18,260
28,350
Risk
-
(16,600)
(34,700)
(53,050)
(73,230)
(93,780)
Replacement
-
(24,750)
(53,700)
(87,170)
(125,640)
(169,610)
Total
-
(39,600)
(83,280)
(129,630)
(180,610)
(235,040)
Stormwater Facility Pump
10 60,000
-
-
-
-
-
Maintenance
-
1,800
3,600
5,400
7,200
9,000
Efficiency
-
(6,000)
(4,800)
(3,600)
(2,400)
(1,200)
Risk
-
(6,000)
(4,800)
(3,600)
(2,400)
(1,200)
Replacement
-
(3,600)
(4,200)
(4,800)
(5,400)
(6,000)
Total
-
(13,800)
(10,200)
(6,600)
(3,000)
600
Schumann Drive
30+ -
750,000
-
-
-
-
Maintenance
-
-
7,500
15,000
22,500
30,000
Risk
-
(75,000)
(75,000)
(67,500)
(67,500)
Replacement
-
(112,500)
(120,000)
(127,500)
(135,000)
Total
-
(180,000)
(180,000)
(172,500)
(172,500)
Canal Restoration
30+ 11,500,000
-
-
-
-
Maintenance
-
115,000
230,000
345,000
460,000
575,000
Risk
(1,150,000)
(1,150,000)
(1,035,000)
(1,035,000)
(920,000)
Replacement
(1,725,000)
(1,840,000)
(1,955,000)
(2,070,000)
(2,185,000)
Total
-
(2,760,000)
(2,760,000)
(2,645,000)
(2,645,000)
(2,530,000)
Stonecrop Upstream Drainage
30+
1,220,000
310,000
345,000
-
-
Maintenance
-
12,200
27,500
46,250
65,000
Risk
(122,000)
(153,000)
(175,300)
(172,200)
Replacement
(183,000)
(241,700)
(308,750)
(327,500)
Total
(292,800)
(367,200)
(437,800)
(434,700)
Tulip Drive Road Crossing
30+
250,000
-
-
-
-
Maintenance
-
2,500
5,000
7,500
10,000
Risk
(25,000)
(25,000)
(22,500)
(22,500)
Replacement
(37,500)
(40,000)
(42,500)
(45,000)
Total
(60,000)
(60,000)
(57,500)
(57,500)
Capital
Totals
375,000
10,000
122,000
170,000
1,275, 000
60,000
750,000
11,500,000
1,875, 000
250,000
IMPACTS OF CAPITAL IMPROVEMENT PROJECTS ON OPERATING COST
CALCULATIONS BY PROJECT
Life
List of Projects
Years
FY 2023-24
FY 2024-25
Stormwater Department (Continued)
Bayfront Road Crossing
30+
-
-
Maintenance
-
Risk
-
Replacement
-
Tota/
-
Ocean Cove Drainage
30+
-
Maintenance
-
-
Risk
-
-
Replacement
-
-
Total
-
-
Golf Course
Golf Clubhouse Doors
30+
35,000
-
Maintenance
-
350
Efficiency
(3,500)
Risk
(3,500)
Replacement
(5,250)
Total
-
(11,900)
Golf Shop Carpet
n/a
3,800
-
Golf Bunker Renovations
20
50,000
50,000
Maintenance
-
1,500
Risk
-
(5,000)
Replacement
-
(3,000)
Total
-
(6,500)
Golf Maintenance Equipment
7
3,500
-
Maintenance
-
175
Efficiency
(350)
Risk
(350)
Replacement
(175)
Total
-
(700)
Airport
Airport Maintenance Equipment
7
35,000
9,000
Maintenance
-
1,750
Efficiency
(3,500)
Risk
(3,500)
Replacement
(1,750)
Total
(7,000)
Airport Backhoe Loader
10
-
Maintenance
Efficiency
Risk
Replacement
Total
-
Airport Tractor/Mower Deck
7
80,000
-
Maintenance
-
4,000
Efficiency
(8,000)
Risk
(8,000)
Replacement
(4,000)
Total
(16,000)
Aircraft Wash Rack
10
Maintenance
-
Efficiency
Risk
-
Total
Airport Equipment Shelter
10
Maintenance
Efficiency
Risk
Total
Construct Shade Hangar
30+
Maintenance
Efficiency
Total
Capital
FY 2025-26 FY 2026-27
FY 2027-28
FY 2028-29 Totals
250,000 -
-
- 250,000
- 2,500
5,000
7,500
(25,000)
(25,000)
(22,500)
(37,500)
(40,000)
(42,500)
(60,000)
(60,000)
(57,500)
350,000
-
- 350,000
- -
3,500
7,000
-
(35,000)
(35,000)
-
(52,500)
(56,000)
-
(84,000)
(84,000)
35,000
700
1,050
1,400
1,750
(3,500)
(3,150)
(3,150)
(2,800)
(3,500)
(3,150)
(3,150)
(2,800)
(5,600)
(5,950)
(6,300)
(6,650)
(11,900)
(11,200)
(11,200)
(10,500)
-
-
-
-
3,800
50,000
50,000
50,000
50,000
300,000
4,500
9,000
15,000
22,500
(9,000)
(12,000)
(14,000)
(15,000)
(6,500)
(10,500)
(15,000)
(20,000)
(11,000)
(13,500)
(14,000)
(12,500)
-
-
-
-
3,500
350
525
700
875
(245)
(140)
(35)
(70)
(245)
(140)
(35)
-
(210)
(245)
(280)
(315)
(350)
-
350
490
-
-
-
44,000
3,950
6,150
8,350
10,550
(3,350)
(2,030)
(710)
(790)
(3,350)
(2,030)
(710)
(90)
(2,550)
(2,990)
(3,430)
(3,870)
(5,300)
(900)
3,500
5,800
-
-
65,000
-
65,000
-
-
1,950
-
-
(6,500)
-
-
(6,500)
-
-
(3,900)
-
-
(14,950)
30,000
-
-
-
110,000
8,000
13,500
19,000
24,500
(5,600)
(6,200)
(2,900)
(2,800)
(5,600)
(6,200)
(2,900)
(1,200)
(4,800)
(7,100)
(8,200)
(9,300)
(8,000)
(6,000)
5,000
11,200
125,000
-
-
-
125,000
-
8,750
17,500
26,250
-
(12,500)
(7,500)
(2,500)
-
(12,500)
(7,500)
(2,500)
-
(16,250)
2,500
21,250
-
50,000
-
-
50,000
-
3,500
7,000
(5,000)
(3,000)
-
(5,000)
(3,000)
-
-
(6,500)
1,000
1,300,000
-
-
-
1,300,000
-
13,000
26,000
39,000
-
(130,000)
(130,000)
(117,000)
-
(117,000)
(104,000)
(78,000)
IMPACTS OF CAPITAL IMPROVEMENT PROJECTS ON OPERATING COST
CALCULATIONS BY PROJECT
Life
Capital
List of Projects
Years
FY 2023-24
FY 2024-25
FY 2025-26
FY 2026-27
FY 2027-28
FY 2028.29
Totals
Airport (Continued)
Construct Square Hangars
30+
1,570,000
-
-
-
-
-
1,570,000
Maintenance
-
15,700
31,400
47,100
62,800
78,500
Efficiency
-
(157,000)
(157,000)
(141,300)
(141,300)
(125,600)
Total
-
(141,300)
(125,600)
(94,200)
(78,500)
(47,100)
Runway 10-28 Markings
30+
47,270
-
-
-
-
-
47,270
Maintenance
-
473
945
1,418
1,891
2,364
Efficiency
(4,727)
(4,727)
(4,254)
(4,254)
(3,782)
Risk
(4,727)
(4,727)
(4,254)
(4,254)
(3,782)
Total
-
(8,981)
(8,509)
(7,091)
(6,618)
(5,200)
Runway 05-23 Rehabilitation
30+
1,703,823
-
-
-
-
-
1,703,823
Maintenance
-
17,038
34,076
51,115
68,153
85,191
Efficiency
(170,382)
(170,382)
(153,344)
(153,344)
(136,306)
Risk
(170,382)
(170,382)
(153,344)
(153,344)
(136,306)
Total
(323,726)
(306,688)
(255,573)
(238,535)
(187,421)
Design Taxiway Golf
30+
215,500
-
-
-
-
215,500
Maintenance
-
2,155
4,310
6,465
8,620
Efficiency
-
(21,550)
(21,550)
(19,395)
(19,395)
Risk
-
(21,550)
(21,550)
(19,395)
(19,395)
Total
-
(40,945)
(38,790)
(32,325)
(30,170)
Construct Taxiway Golf
30+
987,600
987,600
-
-
-
1,975,200
Maintenance
-
-
9,876
29,628
49,380
69,132
Efficiency
-
(98,760)
(197,520)
(187,644)
(177,768)
Risk
-
(98,760)
(197,520)
(187,644)
(177,768)
Total
-
-
(187,644)
(365,412)
(325,908)
(286,404)
Design Taxiway Bravo Rehab
30+
-
-
-
-
230,000
230,000
Maintenance
-
-
Risk
Replacement
Total
Reconstruct Alpha Apron
30+
-
225,000
-
-
-
225,000
Maintenance
-
-
-
2,250
4,500
6,750
Efficiency
-
-
(22,500)
(22,500)
(20,250)
Risk
-
(22,500)
(22,500)
(20,250)
Total
-
(42,750)
(40,500)
(33,750)
Terminal Apron Expansion
30+
-
1,200,000
-
-
1,200,000
Maintenance
-
12,000
24,000
Efficiency
(120,000)
(120,000)
Risk
-
-
(120,000)
(120,000)
Total
-
-
(228,000)
(216,000)
Design NW Airport Access
30+
-
-
250,000
-
-
250,000
Maintenance
-
-
-
-
2,500
5,000
Efficiency
-
-
-
(25,000)
(25,000)
Risk
-
-
-
(25,000)
(25,000)
Total
-
-
-
(47,500)
(45,000)
Construct NW Airport Access
30+
-
-
-
3,000,000
-
3,000,000
Maintenance
-
-
-
-
30,000
Efficiency
-
-
-
-
-
(300,000)
Total
-
-
-
-
-
(270,000)
Building Department Truck
7
30,000
-
-
-
-
-
30,000
Maintenance
-
1,500
3,000
4,500
6,000
7,500
Efficiency
-
(3,000)
(2,100)
(1,200)
(300)
(600)
Risk
-
(3,000)
(2,100)
(1,200)
(300)
-
Replacement
-
(1,500)
(1,800)
(2,100)
(2,400)
(2,700)
Total
-
(6,000)
(3,000)
3,000
4,200
Totals for All Years
-
(5,172,"3)
(6,157,710)
(6,014,773)
(5,833,187)
(5,144,082)
59,663,500
CRYOF
[3A'
'
HOME OF PELICAN! ISLAND
CITY OF SEBASTIAN, FLORIDA
ANNUAL BUDGET
FISCAL YEAR 2023-2024
SCHEDULES
Draft as of July 7, 2023
183
!CITY OF SEBASTIAN, FLORIDA 2023/2024 ANNUAL BUDGET
MY OF
.ter.
HOME OF PELICAN ISLAND
This Page Intentionally Left Blank
GENERALFUND
PROJECTED BALANCES
FISCAL YEARS 2024-2029
FY 21-22
FY 22-23
FY 23-24
FY 24-25
Property Taxes (5%Growth) 3.0503+65K(raB=2.6260
$ 4,602,933
$ 5,075,000
$ 6,170,004
$ 6,478,504 $
Franchise Fees (3.5% Growth)
1,571,571
1,830,600
1,851,500
1,916,303
Utility Service Tax (3.5% Growth)
3,172,766
3,502,900
3,621,900
3,748,667
Intergovernmental (3.5% Growth)
4,046,494
3,911,100
4,076,638
4,219,320
Investment Income(2 % Growth)
37,095
174,500
174,500
177,990
Other Revenue (2% Growth)
1,383.152
1,173,970
1,198,389
1,222,357
Charges to Cemetery
90,000
95,000
130,000
130,000
Transfers from Stormwater Revenue Fund
721
Transfers from Stormwater Construction Fund
47,173
Transfers from Golf Course Fund
35,000
35,000
80.000
150,000
Transfers from Building Fund
200
FEMA and State Reimbursements
146.677
72.435
-
GENERAL FUND REVENUE
$ 15,133,782
$ 15,870,505
$ 17,302,931
$ 18,043,140 $
Personnel (Insurance 5%, Pay Change 5%)
$ 10,268,218
$ 10,670,917
$ 12,705,755
$ 13,617,240 $
Operating Expenditures(2% Annual Increase)
2,824,607
3.249,270
3,737.016
3,811.756
Organizational Efficiency Program:
Additional Staffing
260,000
$ 276,000 $
Strategic Planning
75,000
Added 2 Police Officers in 2025
$ 161,167 $
Total Operation and Maintenance
$ 13,092,825
$ 13,920.187
$ 16,777,771
$ 17,866,163 $
100th Anniversary
53,000
City Manager Vehicle
35,137
Police Flooring
103
22.800
Police Personnel Equipment
32,555
67,964
29,260
34,800
K-9 Bite Suit
1,625
Police Investigative Equipment
3.593
11,682
11,500
Police Transport Trailer
3,036
Police COPE Trailer
4,000
Police Breaching Tool
1,051
Police Station Sign
7,500
Police Vehicles
103,584
Public Works Roads Sidewalks
75,000
75.000
Public Works Roads Equipment
24,678
67,900
Public Works Traffic Sensors
3,415
Public Works Crosswalk Flashing Beacon
14,999
Public Works Roads Vehicle
35,512
Cut
Public Works Sign Shop Truck
75,000
Public Works Fleet Diagnostic Scanners
13,800
Cemetery Equipment
806
-
Public Facilities Council Chambers Dias Chairs
7,000
-
Public Facilities Maintenance Vehicle
63,000
Public Facilities Repairs
77,000
30,000
Public Facilities Stairwell Evacuation Chairs
3,105
Public Facilities Ice & Water Dispenser
5,234
Public Facilities City Hall Refrigerator
1,148
Public Facilities Maintenance Vehicles
46,726
Leisure Services Parks Equipment
26.239
70.835
23,000
Leisure Services Vehicles
-
64,692
40,000
Leisure Services Easy Street Fountain Lights
6,962
Leisure Services Senior Center Carpet
10,500
Leisure Services Baseball Scoreboard
3,128
Leisure Services Parks EquipmenWehicles
12,000
Leisure Services Barber Street Shed
15,000
Barber Street Football Goal Posts
7,000
Yacht Club Seawall Replacement
310,251
1,415
Yacht Club Interior Improvements
20,000
Community Development Vehicle
-
25,027
Community Development Offices
88,500
Natural Vegetation/CID Demonstration
15,000
Airport Air Conditioner
3,643
Added Funds on JAG Grant
671
TOTAL EXPENDITURES FY 22
$ 13,593,567
TOTAL EXPENDITURES FY 23
$ 14,488,861
TOTAL EXPENDITURES FY 24
$ 17,302,931
TOTAL EXPENDITURES FY 25
$ 18,057.963
TOTAL EXPENDITURES FY 26
$
TOTAL EXPENDITURES FY 27
TOTAL EXPENDITURES FY 28
TOTAL EXPENDITURES FY 29
BEGINNING FUND BALANCE
$ 6,689,795
$ 8,230,010
$ 9,611,654
$ 9,611,654 $
TOTAL REVENUES
15,133,782
15.870,505
17,302,931
18,043,140
TOTAL EXPENDITURES
13.593.567
14.488.861
17.302.931
18.057.963
UNRESTRICTED RESERVE BALANCE PER CAFR
$ 8,230,010
$ 9,611,654
$ 9,611,654
$ 9,596,831 $
Renewal and Replacement Reserve
275,000
275.000
275,000
275,000
Assigned Funds (Inventory, Prepaids & Receivables)
782,956
747.956
667.956
517,956
Reserve for Employee Final Payouts @25 %
389,000
389,000
389.000
Self Insurance $3M, then $250K for Minor Pier Damage
3,000.000
3.000,000
3.000.000
Available for Emergencies
$ 7,172,054
$ 5,199,698
$ 5,279,698
$ 5,414.875 $
Revenue vs Expenditures
1,540,215
1,381,644
(0)
(14.823)
FY 25-26
FY 26-27
FY 27-28
FY 28-29
6,802,429 $
7,142,551
$ 7,499,678
$ 7,874,662
1,983,373
2,052,791
2,124,639
2,199,001
3,879,870
4,015,665
4,156,214
4,301.681
4.366,997
4,519,841
4,678,036
4,841,767
181,550
185,181
188,884
192,662
1,246,804
1,271,740
1,297,175
1,323,118
130,000
130,000
130,000
130,000
100,000 100,000
18,691,022 $ 19,417,769 $ 20.074,626 $ 20,862.892
14,574,299
$ 15,579,211
$ 16,634,368
$ 17,742,284
3,887,991
3,965,751
4,045,066
4,125,968
292,800
$ 310,440
$ 328,962
$ 34BA10
178,131
$ 195,944
$ 214,647
$ 234,285
18,933,222
$ 20,061,346
$ 21,223,044
$ 22,450,947
8,500
8,500
8,500
8.500
75.000 75,000 75,000 75,000
45,000
28,000 22,000 20,000
19,016,722
$ 20.207,846
$ 21,328,544
$ 22,554.447
9,596,831 $ 9,271.132 $ 8,481,055 $ 7,227,137
18,691.022 19.417,769 20,074,626 20.862.892
19.016 722 20 207.846 21 328 544 22.554.447
9,271,132 $ 8.481,055 $ 7,227,137 $ 5,535.583
275,000 275,000 275,000 275,000
417,956 317,956 317,956 317,956
389,000 389,000 389,000 389,000
250 000 250.000 250 000 250,000
7,939,176 $ 7,249.099 $ 5,995,181 $ 4.303.627
(325,699) (790,077) (1,253,918) (1,691,555)
Igs
AMERICAN RESCUE PLAN FUND
PROJECTED BALANCES
FISCAL YEARS 2024-2029
FY 21-22
FY 22-23 FY 23-24 FY 24-25
FY 25-26 FY 26-27 FY 27-28 FY 28.29
Fiscal Recovery Payments
$ 1,666,064
$ - $ - $ -
$ - $ - $ - $
Investment Income
50,000
7,247 7,247 498
507 509 510 511
Total Revenues
$ 1,716,064
7,247 7,247 498
507 509 510 511
Premium Payments:
Essential Workers Pay/Benefits
481,011
Infrastructure Investment:
Road Improvements
1,250,000
Gardenia Ditch Solution
3,844
746,156
Schumann Drive
0 Fund with DST - $750,000 in
FY24-25
Concha Dam
700,000
Interest Expenditures:
Artificial Reef Grants
2,500
Water Supply Work Plan
12,000
TOTAL EXPENDITURES FY21
TOTAL EXPENDITURES FY22
$ 484,855
TOTAL EXPENDITURES FY23
$ 2,710,656
TOTAL EXPENDITURES FY24
$ -
TOTAL EXPENDITURES FY25
$
TOTAL EXPENDITURES FY26
$
TOTAL EXPENDITURES FY27
$ -
TOTAL EXPENDITURES FY28
$ -
TOTAL EXPENDITURES FY29
$ -
BEGINNING FUND BALANCE
$ 1,667,677
$ 2,898,886 $ 195,477 $ 202,724
$ 203,222 $ 203,730 $ 204,238 $ 204,748
TOTAL REVENUES
1,716,064
7,247 7,247 498
507 509 510 511
TOTAL EXPENDITURES
484,855
2,710,656
- -
ENDING FUND BALANCE
$ 2,898,886
$ 195,477 $ 202,724 $ 203,222
$ 203,730 $ 204,238 $ 204,748 $ 205,259
Local Option Gas Taxes (+3.5% After 2023)
FDOT Lighting Agreement (+3%)
Investment Income
Total Revenues
R/R Crossing Maintenance
Road Condition Assessment
Road Signs and Markings
Total Operational and Maintenance
Debt Payment - Final FY22-23
Portable Traffic Analyzers (2)
Street Major Repair and Reconstruction
Sidewalk Construction/Repair
TOTAL EXPENDITURES FY22
TOTAL EXPENDITURES FY23
TOTAL EXPENDITURES FY24
TOTAL EXPENDITURES FY25
TOTAL EXPENDITURES FY26
TOTAL EXPENDITURES FY27
TOTAL EXPENDITURES FY28
TOTAL EXPENDITURES FY29
BEGINNING FUND BALANCE
BUDGET RESERVE - 51/6 OF REVENUE
UNRESTRICTED RESERVE BALANCE
TOTAL REVENUES
TOTAL EXPENDITURES -TRANSFERS
ENDING FUND BALANCE
Paving Program Needs Per Study:
Major Repair
Preservation
Totals
Swale Work
Deferred Amount of Major Repair Work
Deferred Amount of Preservation Work
Adjusted Totals
Funding by:
ARPA - Major Repair Only
DST Major Repair+Swales "
Local Option Gas Tax "*
Totals
LOCAL OPTION GAS TAX FUND
PROJECTED BALANCES
FISCAL YEARS 2024-2029
FY 21.22
FY 22.23
FY 23-24
FY 24-25
FY 25-26
FY 26-27
FY 27-28
FY 28-29
$ 742,456 $
738,000 $
763,830 $
790,564 $
818,234
$ 846,872 $
876,512 $
907,190
14,528
14,964
15,413
15,875
16,351
16,842
17,347
17,868
5,107
5,345
3,238
4,521
3,116
3,291
4,823
7,401
$ 762,091 $
758,309 $
782,481 $
810,960 $
037,701
$ 867,005 $
898,683 $
932,459
$ 5,400 $
5,901 $
5,901 $
5,901 $
5,901
$ 5.901 $
5.901 $
5,901
28,500
5,400
38,900
$ 33,900 $
11,301 $
5,901 $
5,901 $
44,801
$ 5,901 $
5,901 $
5,901
242,801
122,174
4,870
•
984,158
533,423
1,099,840
772,192
569,552
392,611
417,500
19,124
75,000
$ 300,695
$
1,192,633
$
539,324
$
1,105,741
$
816,993
$ 575,453
$
398,512
$
423,401
238,643
700,039
265,715
508,871
214,090
234,799
526.351
1,026,522
37,123
36,900
38,192
39,528
40,912
42,344
43,826
45,360
$ 201,520 $
663,139 $
227,523 $
469,343 $
173,179
$ 192,455 $
482,526 $
981,162
762,091
758,309
782,481
810,960
837,701
867,005
898,683
932.459
300,695
1,192,633
539,324
1,105,741
816.993
575.453
398,512
423,401.
$ 662,916 $
228,815 $
470,680 $
174,562 $
193,887
$ 484,008 $
982,696 $
1,490,220
579,579
603,020
1,026,589
681,359
426,342
483,585
1,039,469
1,000,000
275,164
247,583
307,616
619,446
410,994
270,605
252,834
250.000
854,743
850,603
1,334,205
1,300,805
837,336
754,190
1,292,303
1,250,000
395,626
133,186
979,381
1,008,803
735,884
833,180
714,440
837,500
1,250,369
983,789
2,313,586
2,309,608
1,573,220
1,587,370
2,006,743
2,087,560
847,843
402,157
-
-
1,780,163
1,209,768
801,028
1,017,818
1,614,132
1,670,000
402,526
581,632
533,423
1,099,840
772,192
569,552
392,611
417,500
1,250,369
983,789
2,313,586
2,309,608
1,573,220
1,587,370
2,006,743
2,087,500
187
DISCRETIONARY SALES TAX FUND (DST)
PROJECTED BALANCES
FISCAL YEARS 2024-2029
FY 21-22
FY 22-23
FY 23.24
FY 24-25
FY 25-26
FY 26.27
FY 27-28
FY 28-29
DST Revenue (3.5% Growth)
$ 4,711,995
$ 4,947,000
$ 5,120,145
$
5,299,350
$
5,484,827
$
5,676,796
$
5,875,484
$
6,081,126
Principal on $285,000 Airport Loan 09/29/08
7,570
7,873
10,188
10,596
11,019
11,460
11,919
11,919
Interest from $285,000 Airport Advance
10,430
10,127
9,812
9,404
8,981
8,540
8,081
8,081
Principal on $267,511 Airport Loan 01/05/11
8,189
8,517
8,858
9,212
9,580
11,964
12,442
12,442
Interest from $267,511 Airport Advance
10,311
9,983
9,642
9,288
8,920
8,536
8,058
8,058
Investment Income
2,849
21,201
13,405
7,665
9,300
10,284
17,299
23,248
DST PROJECTED REVENUE
$ 4,751,344
$ 5,004,701
$ 5,172,050
$
5,345,515
$
5,532,627
$
5,727,580
$
5,933,283
$
6,144,874
Stormwater Debt
$ 220,605
$ -
$ -
$
-
$
-
$
-
$
$
-
Server/Host Update - Vx Rail Lease
43,195
43,195
43,195
45,355
45,355
45,355
45,355
45,355
Sidewalk Assurance System
50,000
Cyber Security Features
30,000
Email Archive System
36,475
Backup System Update
40,000
City Computers
24,038
76,108
45,000
35,000
45,000
35,000
45,000
35,000
COSty Equipment
9,582
15,000
15,000
15,000
15,000
15,000
15,000
15,000
Phone System
82,727
1,080
Network Infrastructure
9,923
50,077
30,000
30,000
30,000
30,000
30,000
30,000
Public Works Compound Firewall
75,000
Over -the -Air Connections
29,673
Core and Remote Switches
60,000
Security Cameras at Parks
26,036
30,000
Scale Computing Platform
113,876
CAD/RMS System Update
112,069
90,631
60,775
60,775
60,775
60,775
60,775
60,775
Police Vehicle/Body Cameras
78,583
88,183
88,776
88,776
93,776
93,776
93,776
93,776
Police Vehicles - 2 Added @65K
341,386
797,730
620,431
485,383
373,152
391,809
411,400
431,970
Road Patrol Armored Vehicle
310,000
Police COPE Trailer
91
28,695
Police Utility Vehicle
24,540
Evidence Compound Work
4,525
Street Major Repair + 60% Swale Work
1.780.163
1.209.768
801.028
1,017.818
1,614,132
1,670.000
Roads Division Wheel Loader
-
203,306
Roads Division Bucket Truck
158,219
Roads Division Dump Truck
184,500
Brush Truck for Roads Dept.
121,543
Paveway System on Highway 1
480,105
Railroad Crossing Sidewalk
90,000
Sidewalk Fronting Davita Dialysis
200,000
Facilities Maintenance Truck
61,225
Public Facilities Compound
5,999,334
134,328
Public Facilities Compound Shade Structure
2,493
Emergency Generators
200,000
Air Conditioner Replacement
25,000
25,000
30,000
30,000
35,000
35,000
40,000
Splash Pad Replacement
1,000,000
Friendship Park Baseball Field Improvements
25,000
25,000
Park Signage
4,400
Fisherman's Landing Dock (FIND Grant)
250,000
CDBG Sidewalks
7,151
Tree Protection/Riverview Area Improvement
20,694
73,591
Riverview Park Master Plan Project
500,000
500,000
Riverview Park Event Center
1,000,000
Schumann Drive (Was ARPA Funded)
750,000
Stormwater Bulldozer
136,976
Stormwater Facility Pump
60,000
Rubber Tire Excavator
375,000
Brush Truck
122,000
Backhoe
170,000
Sliplining or Pipe Replacement
400,000
Canal Restoration
500,000
500,000
Tulip Road Crossing
250,000
Bayfront Road Crossing
250,000
Ocean Cove
350,000
Stormwater Master Plan
270,513
69,625
Stonecrop Drainage - Phase II + Upstream
1,823,904
305,000
77,500
86,250
Airport Terminal Expansion
240,000
Construction of Hangar "D", Then Office
271,305
95,358
Construct Square Hangars
-
314,000
314,000
Engineer and Construct Shade Hangar
39,757
260,000
Establish Sewer Services
176,647
210,632
Design NW Airport Access
50,000
Construct NW Airport Access
600,000
Reconstruct Runway 05-23
2,585
98,646
85,191
Reconstruct Alpha Apron
45,000
Design Taxiway Bravo
11,500
Design Taxiway Golf on Runway 13-31
43,100
Construct Taxiway Golf on Runway 13-31
197,520
197,520
TOTAL EXPENDITURES
7,980,499
7,368,361
4,604,531
5,045,677
2,824,106
3,450,783
2,950,438
2,444,876
BEGINNING FUND BALANCE
$ 6,104,743
$ 2,859,829
$ 479,779
$
1,047,299
$
1,347,136
$
4,055,658
$
6,332,454
$
9,315,300
BUDGET RESERVE - 5% OF REVENUE
235,600
247,350
256,007
264,968
274,241
283,840
293,774
304,056
RESERVE FOR ADVANCES
502,748
486,358
467,312
447,504
426,905
403,481
379,120
354,759
UNRESTRICTED RESERVE BALANCE
$ 5,366,395
$ 2,126,121
$ (243,b4U)
$
334,827
$
64b,99U
$
3,368,331
$
b,bb9,bbU
$
8,6bb,484
TOTAL REVENUES - Excluding Principal
4,735,585
4,988,311
5,172,050
5,345,515
5,532,627
5,727,580
5,933,283
6,144,874
TOTAL EXPENDITURES
7,980,499
7,368,361
4,604,531
5,045,677
2,824,106
3,450,783
2,950,438
2,444,876
ENDING FUND BALANCE
$ 2,121,481
$ ('Lb3,929)
$ 323,U8U
$
W4,bbb
$
3,3b4,011
$
0,b40,134
$
8,b42,4Ub
$
12,3bb,482
Cash on Hand
$ 2,357,081
$ (6,579)
$ 579,987
$
899,632
$
3,628,753
$
5,928,973
$
8,936,180
$
12,660,538
Self Insurance for Docks/Piers
$
3,000,000
$
3,000,000
$
3,000,000
$
3,000,000
Net Cash on Hand
$ 2,357,081
$ (6,579)
$ 579,987
$
899,632
$
628,753
$
2,928,973
$
5,936,180
$
9,660,538
Advances to Other Funds - Balance After FY 28-29:
$285,000 Airport Advance 09/29/08
178,198
$267,511 Airport Advance 01/05/11
154,071
RIVERFRONT CRA FUND
PROJECTED BALANCES
FISCAL YEARS 2024-2029
FY 21.22
FY 22-23
FY 23-24
FY 24-25
FY 25-26
FY 26-27
FY 27-28
FY 28.29
Tax Increment from City (5% Growth)
$
192.832
$ 195,885
$
203,244
$ 213.406
$
224,077
$
235,280
$ 247,044
$
259,397
Tax Increment from County
192,832
195,885
248,196
260,606
273,636
287,318
301,684
316,768
Correction to County for FY21-22 + FY22-23
78,190
Rents
36,704
36,000
16,500
FIND Grant
60,000
250,000
250,000
250,000
Investment Income
5,814
17,800
11,950
14,203
10,583
10,598
10,937
11,673
PROJECTED REVENUE
$
428,182
$ 523,760
$
539,890
$ 738,215
$
758,295
$
783,196
$ 559,666
$
587,838
Farade/Sign Improvement Program
8,049
31,951
40,000
40,000
40,000
40,000
40,000
40,000
Sewer Connection Program
11,190
5,000
Special Events
45,369
50,000
-
-
-
-
Operating Expenditures
238.551
201,046
271,370
218,949
221,037
223,188
226,051
228,333
Wayfinding Signage
15,266
Working Waterfront Improvements
-
50,000
120.000
500,000
500,000
500.000
Kiosk Signs
16,000
Riverview Park Sidewalk Replacement
Sewer Conversion Study
23,116
Central Avenue Catalyst Site
500,0DD
TOTAL EXPENDITURES FY21
TOTAL EXPENDITURES FY22
$
341,541
TOTAL EXPENDITURES FY23
$ 352,997
TOTAL EXPENDITURES FY24
$
431,370
TOTAL EXPENDITURES FY25
$ 758,949
TOTAL EXPENDITURES FY26
$
761,037
TOTAL EXPENDITURES FY27
$
763,188
TOTAL EXPENDITURES FY28
$ 766,051
$
268,333
BEGINNING FUND BALANCE
$
541,244
$ 627,885
$
798,648
$ 907,168
$
886,434
$
883.692
$ 903,700
$
697,314
BUDGET RESERVE - 5% OF TAX INCREMENT
19,283
19,589
22,572
23,701
24,886
26,130
27,436
28,808
UNRESTRICTED RESERVE BALANCE
$
521,961
$ 608.296
$
776,076
$ 883,467
$
861,548
$
857,562
$ 876,264
$
668,506
ANNUAL REVENUES
428,182
523,760
539,890
738,215
768,295
783.196
559.666
587,838
ANNUAL EXPENDITURES
341,541
352,997
431.370
758,949
761,037
763,188
766,051
268.333
ENDING FUND BALANCE
S.
608,602
5 779,059
=.
884,596
_ 862,733
s.
858,806
5
877,570
1: 669,878
5
988,011
Detail on Operating Expenditures:
Indian River County Tax Assessor
$
5,000
$ 5,000
$
5,000
$ 5,000
$
5,000
$
5,000
$ 6,000
$
5,000
Audit Fees
5,000
5,000
4,000
4,000
4,000
4,000
4,000
4,000
City of Sebastian Administration
92,655
62,431
67,573
69,600
71,688
73,839
76,054
78,336
Landscaping
97,842
99,942
99,942
99,942
99,942
99,942
99,942
99,942
Working Waterfront Maintenance (Flooring)
11,685
10,000
12,750
10,000
10,000
10,000
10,000
10,000
Other Facility Maintenance - Crab E Bills
19,044
10,000
20,000
20,000
20,000
20,000
20,000
20,000
Design Fish Market/Museum
50,000
Submerged Land Leases
4,429
5,145
6,000
4,302
4,302
4,302
4,950
4,950
Travel
-
511
1,200
1,200
1,200
1,200
1,200
1,200
Training and Education
395
395
1,800
1,800
1,800
1,800
1,800
1,800
Legal Advertisements
123
-
300
300
300
300
300
300
Special District State Fee
175
175
175
175
175
175
175
175
Florida Redevelopment Association Dues
620
620
620
620
620
620
620
620
Landfill Fee for Fisherman's Landing
1,583
1,827
2,010
2,010
2,010
2,010
2,010
2,010
Total Operating Expenditures
$
238,551
$ 201,046
$
271,370
$ 218,949
$
221,037
$
223,188
$ 226,051
$
228,333
PARKING IN LIEU OF FUND
PROJECTED BALANCES
FISCAL YEARS 2024-2029
FY 21-22
FY 22-23
FY 23-24
FY 24-25
FY 25-26
FY 26-27
FY 27-28
FY 28-29
Payments in Lieu of Parking
$ 16,828
$
4,128
$
4,128
$
3,532
$
2,340
$
2,340
$ 1,140
$
1,140
Investment Income
742
178
187
196
203
208
213
216
PROJECTED REVENUE
$ 17,570
$
4,306
$
4,315
$
3,728
$
2,543
$
2,548
$ 1,353
$
1,356
Expenditures:
None Programmed
PROJECTED DISBURSEMENTS
$ -
$
-
$
-
$
-
$
_
$
-
$ _
$
_
NONEXPENDABLE TRUST FUND:
BEGINNING FUND BALANCE
$ 71,578
$
89,148
$
93,454
$
97,769
$
101,497
$
104,040
$ 106,588
$
107,941
REVENUES
17,570
4,306
4,315
3,728
2,543
2,548
1,353
1,356
EXPENDITURES
-
-
-
-
_
-
_
_
ENDING FUND BALANCE
$ 89,148
$
93,454
$
97,769
$
101,497
$
104,040
$
106,588
$ 107,941
$
109,297
it 910
Recreation Impact Fees
Investment Income
PROJECTED REVENUE
Park Improvements
ADA Swing and Swing Mats
Park Identification Signage
Barber Street Baseball Dugouts
Barber Street Baseball Backstops
Playground Improvements
Swing/Bench Park at Harbor Lights
TOTAL EXPENDITURES FY 21
TOTAL EXPENDITURES FY 22
TOTAL EXPENDITURES FY 23
TOTAL EXPENDITURES FY 24
TOTAL EXPENDITURES FY 25
TOTAL EXPENDITURES FY 26
TOTAL EXPENDITURES FY 27
TOTAL EXPENDITURES FY 28
BEGINNING FUND BALANCE
TOTAL REVENUES
TOTAL EXPENDITURES
ENDING FUND BALANCE
BEGINNING FUND BALANCE:
Zone A
Zone B
Zone C
Zone D
All Zones
Recreation Impact Fees
Zone A
Zone B
Zone C
Zone D
All Zones
Investment Income
Zone A
Zone B
Zone C
Zone D
All Zones
Transfers:
Zone A
Zone B
Zone C
Zone D
All Zones
Ending Balances:
Zone A
Zone B
Zone C
Zone D
All Zones
RECREATION IMPACT FEE FUNDS
PROJECTED BALANCES
FISCAL YEARS 2024-2029
FY 21-22
FY 22-23 FY 23-24 FY 24-25 FY 25-26
FY 26-27
FY 27-28
FY 28-29
$ 179,400
$ 179,400 $ 179,400 $ 179,400 $
179,400
$ 179,400
$ 179,400
$ 179,400
2,641
20,413 18,903 10,318
15,804
18,564
21,463
26,506
$ 182,041
$ 199,813 " 198,303 $ 189,718 $
195,204
;. 197,964
'200,863
$ 205,906
$ 8,959
$ 15,974 $ 20,000 $ 20,000 $
20,000
$ 20,000
$ 20,000
$ 20,000
23,425 -
15, 791
75,000
73,101 104,026 350,000
35,000
$ 121,276
$ 230,000
$ 370,000
60,000 120,000 120,000
$ 80,000
$ 140,000
t:Ii1 11111�
$
140,000
$
100,000
$
20,000
$ 257,786
$ 318,551
$
288,364
$
116,667 $
226,385
$
281,589
$
339,554
$
440,416
182,041
199,813
198,303
189,718
195,204
197,964
200,863
205,906
121,276
230,000
370,000
80,000
140,000
140,000
100,000
20,000
$ 318,551
$ 288,364
$
116,667
$
226,385 $
281,589
$
339,554
$
440,416
S
626,322
FY 21-22
FY 22-23
FY 23-24
FY 24-25 FY
25-26
FY 26-27
FY
27-28
FY
28.29
$ 44,549
$ 49,419
$
53,524
$
(4,413) $
21,508
$
(842)
$
25,368
$
52,997
55,488
5,521
12,548
13,383
31,970
51,599
22,158
40,915
57,857
22,920
34,756
55,718
36,306
24,971
62,738
102,442
99,891
154,582
205,453
69,897
154,520
243,779
287,207
381,980
$ 257,786
$ 232,443
$
306,282
$
134,585 5
244,303
S
319,507
S
397,472
$
578,334
31,259
31,259
31,259
31,259
31,259
31,259
31,259
31,259
22,561
22,561
22,561
22,561
22,561
22,561
22,561
22.561
41,316
41,316
41,316
41,316
41,316
41,316
41,316
41,316
84,264
84,264
84,264
84,264
84,264
84,264
84,264
84,264
179,400
F. 179,400
$
179,400
$
179,400 $
179,400
3
179,400
$
179,400
$
179,400
$ 456
$ 4,340
$
3,303
$
(338) $
1,391
$
(49)
$
1,370
S
2,429
568
485
774
1,026
2,068
2,998
1,196
1,875
593
2,013
2,145
4,272
2,349
1,451
3,388
4,695
1,023
13,575
12,680
5,359
9,996
14,164
15,509
17,507
2,641
; 20,413
$
18,903
$
10,318 $
15,804
$
18,564
c
21,463
$
26,506
$ 26,846
$ 31,494
$
92,500
$
5,000 $
55,000
$
5,000
$
5,000
$
5,000
73,096
16,019
22,500
5,000
5,000
55,000
5,000
5,000
76,846
31,494
22,500
65,000
55,000
5,000
5,000
5,000
30,596
46,968
232,500
5,000
5,000
55,000
5,000
5,000
S 207,384
$ 125,974
$
370,000
80,000
120,000
'_
120,000
$
20,000
20,000
$ 49,419
$ 53,524
$
(4,413)
$
21,508 $
(842)
$
25,368
$
52,997
$
81,685
5,521
12,548
13,383
31,970
51,599
22,158
40,915
60,352
22,920
34,756
55,718
36,306
24,971
62,738
102,442
143,453
154,582
205,453
69,897
154,520
243,779
287,207
381,980
478,750
232,443
5 306,282
$
134,585
$
244,303 S
319,507
=
397,472
$
578,334
n
764,240
7 Year
FY 23
7 Year
Income
Ending
Income
Thru FY22
Balances
Thru FY23
251,475
53,524
207,158
Proves We are Spending Income
Received Within
Past 7 Years.
179,012
12,548
172,798
197,364
34,756
226,031
444,522
205,453
481,986
1V
Stormwater Fees
Investment Income
TOTAL REVENUE FUND REVENUE
Personnel (Less P/T Clerk)
Operating Accounts
Landscaping Contract
NPDES 5 Year Permit
Total Operational and Maintenance
Walk Behind Concrete Saw
Concrete Saw
SW-616 4X4 2006 Pickup Replacement
Laser
Kabota
Aquatic Bucket
Aeration Fountains
Lowboy Tractor & Trailer
Transfers Out to Stormwater Projects Fund
TOTAL REVENUE FUND EXPENDITURES
BEGINNING FUND BALANCE
BUDGET RESERVE - 5% OF FEES
UNRESTRICTED RESERVE BALANCE
ANNUALREVENUES
ANNUAL EXPENDITURES
ENDING FUND BALANCE
Transfers In from Stormwater Revenue Fund
Applied from Prior Year Balances
Transfers In from Discretionary Sales Tax Fund
American Rescue Plan
Grants
TOTAL PROJECT REVENUE
Stonecrop Drainage DSTIFEMA
Stormwater Master Plan
Tulip Habitat
Mini Excavator
Roadway Swale/Culvert Work
Roadway Swale/Culvert Work DST
Sliplining or Pipe Replacement
Canal Restoration DST
Tulip Road Crossing DST
Bayfront Road Crossing DST
Ocean Cove DST
Gardenia/Evemia Ditch ARPA
Concha Dam ARPA
TOTAL PROJECT EXPENDITURES
STORMWATER UTILITY REVENUE FUND
PROJECTED BALANCES
FISCAL YEARS 2024-2029
FY 21-22
FY 22-23
FY 23-24
FY 24-25
FY 25-26
FY 26-27
FY 27-28
FY 28-29
$ 1,952,168
$ 1,926,000
$
1,926,000
$ 2,311,200
$ 2,311,200
$ 2,311,200
$ 2,311,200
$
2,311,200
21,527
40,000
40,583
34,682
36,702
34,818
31,774
27,380
$ 1,973,695
$ 1,966,000
$
1,966,683
$ 2,346,882
$ 2,347,902
$ 2,346,018
$ 2,342,974
$
2,338,580
$ 666,255
$ 764,985
$
935,725
$ 982,511
$ 1,031,637
$ 1,083,219
$ 1,137,380
$
1,194,249
396,103
467,940
632,367
632,367
632,367
632,367
632,367
632,367
421,742
622,342
607,345
607,345
607,345
607,345
607,345
607,345
7,988
7,988
$ 1,484,100
$ 1,863,255
$
2,175,437
$ 2,222,223
$ 2,271,349
$ 2,322,931
$ 2,385,080
$
2,433,961
10,000
1,555
36,938
2,389
2,549
3,550
6,962
5,300
123,622
111,661
361,192
165,000
182,000
200,000
220,000
242,000
266,000
$ 1,734,833
$ 2,268,240
$
2,350,437
$ 2,404,223
$ 2,471,349
$ 2,542,931
$ 2,627,080
$
2,699,961
1,718,263
$ 1,957,125
$
1,654,885
$ 1,271,031
$ 1,212,690
$ 1,089,243
$ 892,331
$
608,225
97,608
96,300
96,300
115,560
115,560
115,560
115,560
115,560
$ 1,620,655
$ 1,860,825
$
1,558,586
$ 1,155,471
$ 1,097,130
$ 973,683
$ 776,771
$
492,665
1,973,695
1,966,000
1,966,583
2,345,882
2,347,902
2,346,018
2,342,974
2,338,580
1,734,833
2,268,240
2,350,437
2,404,223
2,471,349
2,542,931
2,627,080
2,699,961
$ 1,859,517
$ 1,558,585
$
1,174,731
$ 1,097,130
$ 973,683
$ 776,771
$ 492,665
$
131,285
STORMWATER UTILITY PROJECTS FUND
PROJECTED BALANCES
FY 21-22
FY 22-23
FY 23-24
FY 24-25
FY 25-26
FY 26-27
FY 27.28
FY 28-29
$ 111,661
$ 361,192
$ 165,000
$ 182,000
$ 200,000
$ 220,000
$ 242,000 $
266,000
$ 229,949
$ 584,832
$ 865,146
$ 500,000
$ 555,000
$ 327,500
$ 436,250
$ 1,450,000
4,416
12,095,440
11,000,000
915,000
232,500
258,750
$ 2,380,858
$ 13,321,778
$ 11,665,000
$ 1,652,000
$ 760,000
$ 915,000
$ 242,000 $
266,000
$ 5,888
$ 1,460,586
$ 1,220,000
$ 310,000
$ 345,000
680,275
69,625
16,073
66,837
208,657
244,695
165,000
182,000
200,000
220,000
242,000
266,000
11,500,000
11,500,000
250,000
-
250,000
-
350,000
750,000
700,000
$ 2,380,858 $ 13,321,778 $ 11,665,000 $ 1,652,000 $ 760,000 $ 915,000 $ 242,000 $ 266,000
CEMETERY TRUST FUND
PROJECTED BALANCES
FISCAL YEARS 2024-2029
FY 21-22
FY 22-23
FY 23-24
FY 24-25
FY 25-26
FY 26-27
FY 27-28
FY 28.29
Lot Sales
$
164,032
$ 165,000
$ 165,000
$ 165,000
$ 165,000
$ 165,000
$
165,000
$
165,000
Interest Income
8,637
9,419
10,050
8,755
8,294
8,683
8,240
8,485
PROJECTED REVENUE
$
172,669
$ 174,419
$ 175,050
$ 173,755
$ 173,294
$ 173,683
$
173,240
$
173,485
Expended from Permanent Endowment:
Cemetery Equipment (Mowers)
-
-
14,000
-
-
16,000
-
Cemetery Pickup Truck
40,000
Dump Trailer
13,000
Second Irrigation Pump and Well
10,000
40,000
Cemetery Grounds Improvements
165,000
-
-
-
-
-
Replace Chain Link Fencing
9,235
Cemetery Signage
6,457
General Fund Transfer for Operations
90,000
95,000
130,000
130,000
130,000
130,000
130,000
130,000
TOTAL OPERATIONAL EXPENDITURES
$
96,457
$ 104,235
$ 319,000
$ 130,000
$ 130,000
$ 223,000
$
146,000
$
130,000
Expended from Non -Endowed (Capital):
Columbariums
95,000
Improvements to Sand Hill Section
PROJECTED CAPITAL DISBURSEMENTS
-
-
-
95,000
-
-
-
-
TOTAL PROJECTED DISBURSEMENTS
$
90,000
$ 95,000
$ 130,000
$ 225,000
$ 130,000
$ 130,000
$
130,000
$
130,000
PERMANENT ENDOWMENT:
BEGINNING FUND BALANCE
$
623,750
$ 609,309
$ 587,574
$ 351,074
$ 303,574
$ 256,074
$
115,574
$
52,074
ANNUAL REVENUES
82,016
82,500
82,500
82,500
82,500
82,500
82,500
82,500
ANNUAL EXPENDITURES & TRANSFERS
(96,457)
(104,235)
(319,000)
(130,000)
(130,000)
(223,000)
(146,000)
(130,000)
ENDING FUND BALANCE
$
609,309
$ 587,574
$ 351,074
$ 303,574
$ 256,074
$ 115,574
$
52,074
S
4,574
NON -ENDOWED (Capital)
BEGINNING FUND BALANCE
$
346,577
$ 437,230
$ 529,148
$ 621,699
$ 617,954
$ 708,748
$
799,931
S
890,670
ANNUAL REVENUES
90,653
91,919
92,550
91,255
90,794
91,183
90,740
90,985
ANNUAL EXPENDITURES
-
-
-
(95,000)
-
-
-
ENDING FUND BALANCE
$
437,230
$ 529,148
$ 621,699
$ 617,954
$ 708,748
$ 799,931
$
890,670
$
981,655
TOTAL ENDING BALANCE OF TRUST FUND $ 1,046,538 $ 1,116,722 $ 972,772 $ 921,527 $ 964,821 $ 915,504 $ 942,744 $ 986,229
193
GOLF COURSE FUND
PROJECTED BALANCES
FISCAL YEARS 2024-2029
FY 21-22
FY 22-23
FY 23-24
FY 24-25
FY 25-26
FY 26-27
FY 27-28
FY 28.29
Charges for Services
$ 1,627,040
$ 1,756,211
$ 1,765,985
$ 1,774,815
$ 1,783,689
$ 1,792,607
$ 1,801,570
$ 1,810,578
Proshop Sales
105,000
123,223
125,000
125,000
125,000
125,000
125,000
125,000
Rents
30,000
30,000
30,000
30,000
30,000
30,000
30,000
30,000
Other Revenue
9,547
8,223
4,260
4,260
4,260
4,260
4,260
4,260
FEMA and State Reimbursements
-
77,472
Insurance Proceeds
48,342
Sale of Carts or Equipment
160,360
-
-
-
-
Investment Income
1,160
13,200
13,200
1,846
1,832
1,890
1,945
2,140
PROJECTED REVENUE
$ 1,772,747
$ 2,217,031
$ 1,938,445
$ 1,935,920
$ 1,944,781
$ 1,953,757
$ 1,962,775
$ 1,971,978
Personnel (5.0% per year on Full-time)
$ 402,598
$ 431,430
$ 491,625
$ 505,252
$ 519,560
$ 534,584
$ 550,359
$ 566,923
Operating Costs
813,080
998,555
1,009,648
1,009,648
1,009,648
1,009,648
1,009,648
1,009,648
Proshop Cost of Sales
65,000
90,000
95,000
90,000
95,000
90,000
95,000
90,000
Airport Rent
106,135
106,370
106,370
106,370
106,370
106,370
106,370
106,370
Capital Lease Principal - Golf Carts - Up 28%
50,801
-
-
-
-
-
-
-
Capital Lease Interest - Golf Carts - Up 30%
890
-
-
-
-
-
Golf Cart Purchase
528,640
Insured Damage to Irrigation System
21,097
Repay $500K General Fund Cash Flow Loans
35,000
35,000
80,000
150,000
100,000
100,000
Equipment
3,500
Ice Machine
7,889
10,000
Rehab Parking Lot
5,000
Ditch #15 Improvements
20,000
Golf Shop Carpet
3,800
Range Netting
88,826
Club House Doors
35,000
Golf Bunker Renovations
50,000
50,000
50,000
50,000
50,000
50,000
Interest Payment to Building Fund
5,138
4,857
4,573
4,285
3,993
3,701
3,402
3.402
Principal Payment to Building Fund
30,947
31,352
31,762
32,177
32,598
33,024
33,455
33,455
TOTAL FY 21
TOTAL FY 22
$ 1,534,589
TOTAL FY 23
$ 2,344,016
TOTAL FY 24
$ 1,911,278
TOTAL FY 25
$ 1,947,732
TOTAL FY 26
$ 1,917,169
TOTAL FY 27
$ 1,927,327
TOTAL FY 28
$ 1,858,234
$ 1,859,798
BEGINNING UNRESTRICTED RESOURCES
$ 7,757
$ 245,915
$ 118,930
$ 146,097
$ 134,286
$ 161,898
$ 188,328
$ 292,869
TOTAL REVENUES
1,772,747
2,217,031
1,938,445
1,935,920
1,944,781
1,953,757
1,962,775
1,971,978
TOTAL OPERATING FUND EXPENDITURES
(1,534,589)
(2,344,016}
(1,911,278)
(1,947,732,
1,917,169�
:1,927,327
1,858,234)
(1,859,798)
ENDING UNRESTRICTED RESOURCES
$ 245,915
$ 118,930
$ 146,097
$ 134,286
$ 161,898
$ 188,328
$ 292,869
$ 405,056
Capital Purchases
25,000
Payment on General Fund Loan
35,000
35,000
80,000
150,000
100,000
100,000
-
-
Principal on Building Loan
30,947
31,352
31,762
32,177
32,598
33,024
33,455
33,455
Principal on Golf Cart Loan
50,801
-
-
-
-
-
-
-
Depreciation
(203,186)
(203,186)
(203,186)
(203,186)
(203,186)
(203,186)
(203,186)
(203,186)
Net Change in Net Investment in Capital Assets
-
-
Due to Other Funds Balances
(465,000)
(430,000)
(350,000)
(200,000)
(100,000)
Building Fund Advance Balance
(1,113,646)
(1,082,294)
(1,050,532)
(1,018,355:
985,757.
952,733)
(919,278)
(885,823)
Unrestricted Net Position
$(1,394,169)
$(1,530,198)
$(1,345,859)
$(1,105,078)
$ (994,447)
$ (834,567)
$ (796,140)
$ (650,504)
li q
AIRPORT FUND
PROJECTED BALANCES
FISCAL YEARS 2024-2029
FY 21.22
FY 22-23
FY 23.24
FY 24-25
FY 25-26
FY 26-27
FY 27-28
FY 28-29
OPERATING FUND:
Pickle Ball Courts Rents
$ 6,795
$ 6,795
$ 6,795
$ 6,795
$ 6,795
$ 6,795
$ 6,795
$
6,795
Public Works Compound Rental
14,215
56,365
56,860
56,860
56,860
56,860
56,860
56,860
Golf Course and IGM Maintenance Rents
106,135
106,864
106,864
106,864
106,864
106,864
106,864
106,864
Facilities Maintenance Rents
6,000
6,000
6,000
6,000
6,000
6,000
6,000
6,000
Police Storage Area
576
576
576
576
576
576
576
576
Other Rents (With Hangar D)
380,099
413,765
485,540
541,340
541,340
541,340
541,340
541,340
Insurance Proceeds
FEMA and State Reimbursements
32,230
Sale of Fixed Assets
11,834
18,934
-
Investment Income
720
10,200
10,750
1,072
953
1,038
1,011
1,109
Other Revenue
85,690
85,145
85,185
85,185
85,185
85,185
85,185
85,185
Transfer from General Fund
3,643
-
-
-
PROJECTED REVENUE
$ 615,707
$ 736,874
$ 758,570
$ 804,692
$ 804,573
$ 804,658
$ 804,631
$
804,729
Personnel
130,481
187,480
202,810
208,894
215,161
221,616
228,264
235,112
Operating Costs
191,480
243,802
386,411
398,003
409,943
422,242
434,909
447,956
General Fund Management Fee
104,041
98,374
105,057
108,209
111,455
114,799
118,243
121,790
Air Conditioners
3,643
Mailbox
1,920
Debris Blower
9,479
Equipment
29,043
Airport Maintenance Equipment
35,000
9,000
Airport Backhow Loader
65,000
Airport Tractor/Mower Deck
80,000
30,000
Airport Netting
36,834
Transfer to Airport Construction Fund
72,053
76,707
9,454
-
25,000
10,000
Repayment of DST Advances and Interest
36,500
36,500
38,500
38,500
38,500
40,500
40,500
40,500
TOTAL FY 22
$ 569,161
TOTAL FY 23
$ 689,176
TOTAL FY 24
$ 857,232
TOTAL FY 25
$ 762,606
TOTAL FY 26
$ 830,060
TOTAL FY 27
$ 809,156
TOTAL FY 28
$ 886,916
TOTAL FY 29
$
845,358
BEGINNING RESOURCES
$ 456,574
$ 503,120
$ 550,818
$ 452,156
$ 494,241
$ 468,755
$ 464,256
$
381,971
TOTAL REVENUES
615,707
736,874
758,670
804,692
804,573
804,658
804,631
804,729
TOTAL EXPENDITURES+DEBT+TRANSFERS
(569,161)
689,176i
1867,232,
762,606
.830,060.
.809,156,
i886,916:
845,358:i
ENDING UNAPPROPRIATED RESOURCES
$ 503,120
$ 550,818
$ 452,156
$ 494,241
$ 468,755
$ 464,256
$ 381,971
$
341,341
CAPITAL FUND:
BEGINNING RESOURCES
$ (10,724)
$ -
$ -
$ -
$ -
$
$
$
Grants
4,168,338
2,438,632
2,912,448
962,480
2,110,080
1,200,000
2,400,000
218,500
Private Funding
-
80,000
-
Transfers from Airport Revenue
72,053
76,707
9,454
-
25,000
10,000
-
Transfers from General Fund
19,723
Transfers from DST
946,441
585,191
399,191
240,620
502,520
290,000
600,000
11,500
Rescue Grant Expenditure
32,000
Security Cameras
24,000
Aircraft Wash Rack
125,000
Airport Equipment Shelter
50,000
Hangar C Office Improvements
-
400,000
Hangar D
1,500,668
76,707
Square Hangars
965,420
1,000,000
1,570,000
Shade Hangars
1,300,000
Runway 10-28 and Taxiway Bravo Markings
47,270
Rehab Runway 05/23
2,500
1,703,823
1,703,823
Reconstruct Apron Alpha
226,000
Taxi Lane Alpha Construction
668,083
Taxiway Golf Design
215,500
Taxiway Golf Construction
987,600
987,600
Taxiway Bravo Design
230,000
Terminal Apron Expansion
1,200,000
Design NW Airport Access
250,000
Construct NW Airport Access
3,000,000
Establish Sewer Service
2,013,984
ENDING RESOURCES
$
$ -
$ -
$ -
$ -
$
$ -
$
Hangar A $285K DST Advance in 2008
$ 254,396
$ 246,523
$ 236,335
$ 225,739
$ 214,720
$ 203,260
$ 191,341
$
179,422
Hangar B $290K DST Advance in 2011
$ 249,575
$ 241,058
$ 232,200
$ 222,988
$ 213,408
$ 201,444
$ 189,002
$
176,560
Operating Revenue (No Growth)
Other Revenue
Principal on Golf Course Irrigation Loan
Interest on Golf Course Irrigation Loan
Investment Income
PROJECTED REVENUE
Personnel
Operating Costs
Vehicle
Front Counter Renovations
TOTAL FY 21
Personnel
Operating Costs
TOTAL FY 22
Personnel
Operating Costs
Front Counter Renovations
TOTAL FY 23
Personnel
Operating Costs
Replacement Truck
TOTAL FY 24
Personnel
Operating Costs
TOTAL FY 25
Personnel
Operating Costs
TOTAL FY 26
Personnel
Operating Costs
TOTAL FY 27
Personnel
Operating Costs
TOTAL FY 28
BEGINNING RESOURCES
TOTAL REVENUES
EXPENDITURES+DEBT+TRANSFERS
ENDING UNRESTRICTED RESOURCES
BUILDING FUND
PROJECTED BALANCES
FISCAL YEARS 2024-2029
FY 21-22
FY 22-23
FY 23-24
FY 24-25
FY 25-26
FY 26-27
FY 27-28
FY 28-29
$ 1,229,100
$ 999,350
$ 1,072,150
$ 1,072,150
$ 1,072,150
$ 1,072,150
$ 1,072,150
$ 1,072,150
3,200
2,500
3,000
3,000
3,000
3,000
3,000
3,000
30,947
31,352
31,762
32,177
32,598
32,598
32,598
32,598
5,138
4,857
4,573
4,285
3,993
3,701
3,701
3,701
3,654
37,000
37,000
3,615
3,226
2,779
2,269
1,697
$ 1,272,039
$ 1,075,059
$ 1,148,485
$ 1,115,227
$ 1,114,967
$ 1,114,228
$ 1,113,718
$ 1,113,146
116,000
718,945
213,051
$ 1,047,996
793,935
193,591
71,735
$ 1,059,261
1,058,880
242,394
30,000
$ 1,331,274
1,090,646
242,394
$ 1,333,040
1,123, 366
242,394
$ 1,365,760
1,157,067
242,394
$ 1,399,461
1,191,779
-
242,394
0
$ 1,434,173
$ -
$ 1,429,964
$ 1,654,006
$ 1,669,804
$ 1,487,015
$ 1,269,202
$ 1,018,410
$ 733,177
$ 412,722
1,272,039
1,075,059
1,148,485
1,115,227
1,114,967
1,114,228
1,113,718
1,113,146
1,047,996
1,059,261
1,331,274
1,333,040
1,365,760
1,399,461
1,434,173
0
$ 1,654,006
$ 1,669,804
$ 1,487,015
$ 1,269,202
$ 1,018,410
$ 733,177
$ 412,722
$ 1,525,868