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Item 7A AGENDA ITEM # 7A SEPTEMBER 27, 2010 ORDINANCE NO. 20-10-105 AN ORDINANCE ADOPTING THE FINAL BUDGET FOR THE CITY OF ATLANTIC BEACH, FLORIDA FOR FISCAL YEAR BEGINNING OCTOBER 1, 2010 AND ENDING SEPTEMBER 30, 2011. WHEREAS, the City Commission of the City of Atlantic Beach, Florida, on September 13, 2010, held a public hearing as required by Florida Statute 200.065; and WHEREAS, the City Commission of the City of Atlantic Beach, Florida, set forth the appropriations and revenue estimate for the budget for Fiscal Year beginning October 1, 2010 and ending September 30, 2011 in the amount of $35,411,428. NOW, THEREFORE, BE IT ENACTED BY THE CITY COMMISSION ON BEHALF OF THE PEOPLE OF THE CITY OF ATLANTIC BEACH, FLORIDA, that; 1. The fiscal Year 2010/2011 budget be adopted, and 2. This ordinance shall take effect immediately upon its adoption. Passed by the City Commission on first reading this 13th day of September 2010. Passed by the City Commission on second and final reading this day of September 2010. Louis M. Borno Mayor / Presiding Officer Approved as to form and correctness: Alan C. Jensen, Esquire City Attorney ATTEST: Donna L. Bartle, CMC City Clerk AGENDA ITEM # 7A SEPTEMBER 27, 2010 City of Atlantic Beach Combined Summary of Revenues and Expenditures Summary of all Funds Actual Actual Estimate Budget Increase 2007 -2008 2008 -2009 2009 -2010 2010 -2011 (Decrease) Cash Forward 29,683,208 28,149,952 29,093,219 27,311,070 (1,782,149) Revenues General Fund 10,943,431 10,533,938 10,635,976 11,478,099 842,123 Special Revenue Funds 1,482,891 1,360,663 1,721,881 1,575,439 (146,442) Debt Service Fund 69,723 68,676 68,600 68,650 50 Capita) Project Fund 332,938 331,340 1,002,000 803,000 (199, 000) Enterprise Funds 11,944,047 12,703,148 11,760,587 21,886,299 10,125,712 Trust and Agency Funds - 756,997 2,396,859 2,304,450 2,487,695 183,245 Total Revenues 24,016,033 27,394,624 27,493,494 38,299,182 10,805,688 Other Financing Sources 768,018 653,924 0 0 0 Total Resources 54,487,259 56,198,500 56,586,713 65,610,252 9,023,539 Expenditures General Fund 10,797,761 12,848,407 10,226,332 10,541,823 315,491 Special Revenue Funds 2,081,860 1,632,369 2,421,881 1,719,385 (702,496) Debt Service Fund 70,965 71,359 71,566 71,336 (230) Capital Project Fund 0 14,213 435,788 0 (435,788) Enterprise Funds 11,915,668 10,678,703 15,073,866 21,974,461 6,900,595 Trust and Agency Funds 887,839 980,896 1,046,210 1,104,423 58,213 DIVISION TOTALS 25,754,093 26,225,947 29,275,643 35,411,428 6,135,785 Other Financing Uses 583,214 879,334 0 0 0 Cash Reserves 28,149,952 29,093,219 27,311,070 30,198,824 2,887,754 Total Expenses and Cash 54,487,259 56,198,500 56,586,713 65,610,252 9,023,539 Resource Allocation Personal Services 8,744,853 8,974,257 9,105,422 9,416,977 311,555 Operating Expenses 9,936,248 9,529,952 9,517,115 9,968,045 450,930 Capital Outlay 2,906,185 2,261,605 6,754,254 11,437,993 4,683,739 Debt Service 1,682,914 1,680,417 1,679,966 2,137,906 457,940 Transfers 2,483,893 3,779,716 2,218,886 2,450,507 231,621 Total 25,754,093 26,225,947 29,275,643 35,411,428 _ 6,135,785 AGENDA ITEM # 7A SEPTEMBER 27, 2010 Schedule A Changes from Proposed Budget to Final Budget Originally Proposed Revenues: $32,653,392 Loan Proceeds 4,850,122 Internal Service Charges for Service 13,108 Transfer from General Fund to Storm Water Fund <110,000> Transfers from Public Utilities to General Fund 892,560 Revised Budgeted Revenues $38,299,182 Originally Proposed Expenses: $31,117,032 Sewer Main 3,676,048 Sewer Plant 31,510 Debt Service <20,000> Transfer to General Fund 892,560 Salary and Benefits 70,083 Transfer to Storm Water Fund <110,000> Menzi -Muck <245,000> General Insurance Cost — Other than Worker Comp <68,113> Code Enforcement Software <25,000> Employee Picnic 1,200 Water Fountain Russell Park 5,000 Promotional Brochure 2,000 Master Plan for River Branch Preserve 25,000 Actuary Study 45,000 Beaches Resource Center 1,000 Internal Service Charges 13,108 Revised Budgeted Expenses: $35,411,428