HomeMy WebLinkAboutCity of Tamarac Resolution R-93-112TReTi sede���/�3 6115
CITY OF TAMARAC, FLORIDA
RESOLUTION NO. R-93- _L1-
A RESOLUTION ADOPTING THE ANNUAL BUDGET OF
ESTIMATED REVENUES/RECEIPTS AND
EXPENDITURES/EXPENSES FOR THE CITY OF
TAMARAC, BROWARD COUNTY, FLORIDA FOR THE
FISCAL YEAR 1.993/94; ANI) PROVIDING AN
EFFECTIVE DATE.
WHEREAS, the City Manager has recommended an annual
budget to the Council for the ensuing Fiscal Year beginning
October 1, 1993; and
WHEREAS, heretofore the Council has received said
proposed annual budget for the fiscal year beginning October..
1, 1993, as recommended by the City Manager, and has
summarized the budget in advertisements in newspapers of
general circulation and has held public hearings thereon; and
WHEREAS; the public has had available to them copies of
such budget and the opportunity to express themselves
concerning the provision thereof at Public Hearings thereon F
and
WHEREAS, the City Councii received and reviewed said
recommendations and comments by the public and in the course
of public hearings and workshops certain modifications in the
originally proposed budget were made; and
WHEREAS, the City Council has determined the amount of
money which must be raised -to conduct the affairs of the
municipality for the ensuing 1993-1.994 fiscal year so that
the business of the municipality may be conducted on a
balanced budget, and has also determined the amount necessary
to be raised by ad valorem taxes and other taxes upon all of
the property, real and personal, within the corporate limits
of the City of Tamarac.
NOW, THEREFORE, BE IT RESOLVED 13Y THE CITY COUNCIL OF THE
CITY OF TAMARAC, FLORIDA:
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Temp. Reso. #6525
SEC'PION 1: That the following itemization of estimated
expenses and receipts for the fiscal year commencing October
1, 1993 and ending September 30, 1994, as set forth in
Exhibit "A" attached hereto and made a part hereof by this
reference as if set forth in .full, is hereby agreed upon and
adopted along with the supporting data relating thereto on
file with the City Clerk of the City of Tamarac, as the
official 1993-1994 Budget of the City of Tamarac. The amount_
of money for all of the respective purposes is set forth in
Exhibit "A" for -the operations rind maintenance expenses and
debt service expenses of said City during the fiscal year and
is hereby appropriated to those respective purposes. The
estimated amount of revenues to be derived from sources other
than by millage levied on ad valorem tax assessments during
the fiscal year commencing October 1, 1993 and ending Septem-
ber 30, 1994 and the amount to be raised by the ad valorem
tax assessments for th6 19931994 fiscal year are set forth
in Exhibit "A".
SECTION 2: That the Finance Director shall maintain an
unexpendable balance in the Conti.ngency Account, or other
accounts, of any fund equal to the amount of deficiency, if
any, in the estimated Net Resources Available -Beginning
October 1, 1993 in the particular fund that said deficiency,
if any exists.
SECTION 3: That the Finance Director shall have the
authority to include encumbrances outstanding (formal
contracts and purchase orders) as of September 30, 1993 as a
are -appropriation of funds in the 1993--1994 fiscal year for
the amount of said encumbrances outstanding.
SECTION 4: That the Fimance Director shall have the
authority to re -appropriate .in the 1993-1994 fiscal year
those unexpended appropriations from the 1992-1993 fiscal
year pertaining to a construction, :remodeling, or
refurbishing project that will increase the value of an asset
classified as land, buildings, or other improvements; said
projects having been par�!viously approved by City Council.
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Temp. Reso. # 6525
SECTION 5: The City Clerk is authorized and instructed
to keep a certified copy of this ]Resolution and -the budget
provided for herein in the permanent files of the City of
Tamarac.
SECTION 6: This Resolution shall become effective
immediately upon adoption.
PASSED, ADOPTED AND APPROVED -this 21st day of September,
1993.
ATTEST:
may.
CAROL A. EVANS
CITY CLERK
I E EBY CERTIF �h;aVi'have
topr ved his ES ION as
f r
CITY 'A
EY
MAYOR
DIST II:
01ST. 2:
013T. 3:
GIST. 4:
011 Z.e NDER
MAYOR ---
RECORD OF COUNM VOTE
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GENERAL FUND
---------------
GENERAL FUND - FUND NO. 001
Revised 9/21/93
ESTIMATED REVENUES/RESOURCES
TAXES:
1993 Taxable Valuations
Tax Millage
Tax Levy
Less: Discounts allowed, adjustments,
exonerations, abatements, delinquencies
Net Current Ad Valorem Taxes
Delinquent Ad Valorem Taxes and Penalties
Total Property Taxes
Sales and Use Taxes
Franchise Taxes
Total Taxes
Licenses and Permits
Intergovernmental Revenues
Charges for Services
Fines and Forfeitures
Miscellaneous Revenues
Fund Transfers In
Non -Revenue Receipts
Total Revenues
Net Resources Available - October 1, 1993
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ESTIMATED EXPENDITURES
City Council
•City Attorney
City Manager
City Clerk
Finance
Planning
Engineering
Charter Board
Public Information Board
Economic Development Board
Personnel
Consumer Affairs Board
Veterans Committee
City Hall Operations
General Government Buildings
Police Services
Police Building
Fire
ALS
Building Department
Code Enforcement
Public Services Administration
Grounds Maintenance
Streets/Roads
Street Lighting
Canals/Drainage
is Recreation Activities
Multi -Purpose Recreation Center
Park Facilities
Social Services Board
General Services
Telecommunications
Communication Services
Non -Departmental
TOTAL EXPENDITURES
TOTAL GENERAL FUND (MEMORANDUM TOTAL ONLY)
$1,380,597,620
4.8293
-----------------
6,667,320
3 -------- --- ----
6,333,954
42,000
------------------
6,375,954
520,000
2,597,000
-----------------
9,492,954
980,000
3,633,000
465,600
402,000
1,908,328
30,000
92,098
$17,003,980
1,500,000
-----------------
$18,503, 980
-----------------
-----------------
$140,623
290,263
261,833
424,403
469,568
243,847
207,708
490
10,800
30,200
216,838
125
3,000
257,998
366,284
6,056,220
74,564
3,055,530
300,000
677,480
265,672
250,367
850,773
674,746
500,000
0
353,309
437,434
436,481
38,000
64,507
0
13,776
1,531,141
-----------------
$18,503, 980
$18,503, 980
, , q //�
SPECIAL REVENUE FUNDS
---------------------
DRAINAGE RETENTION FUND — FUND NO. 140
ESTIMATED REVENUES/RESOURCES
Miscellaneous Revenues $5,000
Net Resources Available — October 1, 1993 194,544
-------------
TOTAL REVENUE AND RESOURCES $199,544
ESTIMATED EXPENDITURES
. Drainage Retention $199,544
-------------
TOTAL EXPENDITURES $199,544
PARKS AND RECREATION FUND — FUND NO. 142
ESTIMATED REVENUES/RESOURCES
Miscellaneous Revenues $25,000
Net Resources Available — October 1, 1993 588,367
-------------
TOTAL REVENUE AND RESOURCES $613,367
ESTIMATED EXPENDITURES
Recreational Facilities $167,000
Non— Departmental 446,367
-------------
TOTAL EXPENDITURES $613,367
TRAFFICWAYS IMPROVEMENT FUND — FUND NO. 144
ESTIMATED REVENUES/RESOURCES
Miscellaneous Revenues $50,000
Net Resources Available — October 1, 1993 902,585
-------------
TOTAL REVENUE AND RESOURCES ------- $952,585
ESTIMATED EXPENDITURES
Non —Departmental $952,585
TOTAL EXPENDITURES AND RESOURCES $952,585
BEAUTIFICATION GRANT FUND — FUND NO. 153
ESTIMATED REVENUES/RESOURCES
Net Resources Available — October 1, 1993 $123,228
-------------
TOTAL REVENUE AND RESOURCES $123,228
ESTIMATED EXPENDITURES
Non —Departmental $123,228
-------------
TOTAL EXPENDITURES $123,228
FIRE GRANT FUND — FUND NO. 160
ESTIMATED REVENUES/RESOURCES
Net Resources Available — October 1, 1993 $8,709
-------------
. TOTAL REVENUE AND RESOURCES $8,709
ESTIMATED EXPENDITURES
Non —Departmental $8,709
-------------
TOTAL EXPENDITURES $8,709
TOTAL SPECIAL REVENUE FUNDS $1,897,433
(MEMORANDUM TOTAL ONLY)
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1992 GENERAL OBLIGATION BOND FUND --
FUND NO. 238 ESTIMATED REVENUES/RESOURCES
Taxes:
1993 Taxable Valuations
Tax Millage
Tax Levy
Less: Discounts allowed, adjustments,
exonerations, abatements, delinquencies
is TOTAL PROPERTY TAXES
Miscellaneous Revenues
0
TOTAL REVENUES AND RESOURCES
ESTIMATED EXPENDITURES
Debt Service
1980 FIRE STATION LOAN FUND —
FUND NO. 251 ESTIMATED REVENUES
Taxes:
Franchise Taxes
Miscellaneous Revenues
TOTAL REVENUES
ESTIMATED EXPENDITURES
Debt Service
Fund Transfers Out
TOTAL EXPENDITURES
TOTAL DEBT SERVICE FUNDS
(MEMORANDUM TOTAL ONLY)
$1,380,597,620
0.6000
-------------
828,358
41,418
-------------
786,940
11,490
-------------
$798,430
$798,430
$55,000
615
-------------
$55,615
25,615
30,000
-------------
$55,615
$854,045
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----------------
DRAINAGE IMPROVEMENT FUND — FUND NO. 410
ESTIMATED RECEIPTS/RESOURCES
Charges for Services $750,000
Non —Revenue Receipts 75,000
-------------
TOTAL RECEIPTS AND RESOURCES $825,000
ESTIMATED EXPENSES
OPERATIONS
Streets/Roads
$259,715
Canals/Drainage
342,833
Non —Departmental
222,452
TOTAL EXPENSES
----------------
$825,000
UTILITIES EAST FUNDS
-- ------------------
UTILITIES EAST OPERATING FUND — FUND NO. 419
ESTIMATED RECEIPTS/RESOURCES
Charges for Services $276,272
Miscellaneous Revenues 7,900
-------------
Total Receipts 284,172
Net Resources Available — October 1, 1993 132,954
-------------
TOTAL RECEIPTS AND RESOURCES $417,126
ESTIMATED EXPENSES
Operations $341,368
• Non— Departmental 75,758
_ _ — — — —
Total Expenses $417,126
-------------
TOTAL EXPENSES $417,126
TOTAL UTILITY EAST FUND $417,126
-------------------------
UTILITIES WEST FUNDS
UTILITIES WEST OPERATING — FUND NO. 425
ESTIMATED RECEIPTS
Charges for Services $10,817,079
Miscellaneous Revenues 357,500
Resources Available — October 1, 1993 11000,001
-------------
TOTAL RECEIPTS $12,174,580
ESTIMATED EXPENSES
Operations
$665,682
W ate r Treatm ent
1,484,641
Water Transmission and Distribution
690,322
Water Accountability
352,693
Customer Services
295,466
Wastewater Collection
1,911,511
Wastewater Treatment
2,784,610
Non —Departmental
3,989,655
TOTAL EXPENSES
-------------
$12,174,580
UTILITIES WEST BOND SERVICE FUND FUND NO, 426
ESTIMATED RECEIPTS/RESOURCES
Miscellaneous Revenues $20,000
Equity Transfers In 2,218,163
-------------
Total Receipts $2,238,163
Net Resources Available — October 1, 1993 35,000
----------------
TOTAL RECEIPTS AND RESOURCES $2,273,163
----------------
ESTIMATED EXPENSES
is Debt Service $2,273,163
UTILITIES WEST BOND RESERVE FUND — FUND NO. 427
ESTIMATED RECEIPTS/RESOURCES
Miscellaneous Revenues $87,838
ESTIMATED EXPENSES
Equity Transfers Out $87,838
UTILITIES WEST RENEWAL AND REPLACEMENT FUND —
FUND NO. 428
ESTIMATED RECEIPTS/RESOURCES
Resources Available — October 1, 1993 $392,000
TOTAL. RECEIPTS AND RESOURCES $392,000
ESTIMATED EXPENSES
Operations $392,000
TOTAL EXPENSES $392,000
UTILITIES WEST GENERAL RESERVE FUND
FUND NO. 429
ESTIMATED RECEIPTS/RESOURCES
Resources Available -- October 1, 1993
$649,617
TOTAL RECEIPTS AND RESOURCES
$649,617
ESTIMATED EXPENSES
Equity Transfers Out
$649,617
TOTAL. EXPENSES
$649,617
UTILITIES WEST CONTRIBUTIONS—IN--AID--OF—CONSTRUCTION
FUND NO. 432
ESTIMATED RECEIPTS/RESOURCES
Miscellaneous Revenues $220,500
Resources Available -- October 1, 1993 668,500
TOTAL RECEIPTS $889,000
ESTIMATED EXPENSES ---------___.
Operations $889,000
'e- 9-3 - /
UTILITIES WEST CAPITAL IMPROVEMENT REPLACEMENT FUND --
FUND NO. 441
ESTIMATED RECEIPTS
Equity Transfers in
$42,080
Miscellaneous Revenues
23000
Total Receipts
-----------------
$65,080
Net Resources Available — October 1, 1993
134,920
TOTAL RECEIPTS AND RESOURCES
-----------------
$200,000
ESTIMATED EXPENSES
$200,000
TOTAL EXPENSES
$200,000
UTILITIES WEST SEWER CONTRIBUTIONS —IN —AID —OF
CONSTRUCTION BOND FUND — FUND NO. 442
ESTIMATED RECEIPTS
Resources Available $161,501
-----------------
ESTIMATED RESERVE
Reserve Requirement $161,501
TOTAL UTILITIES WEST FUNDS
(MEMORANDUM TOTAL ONLY) $16,827,699
SOLID WASTE DISPOSAL FUND — FUND NO. 470
ESTIMATED RECEIPTS
Charges for Services
$350,000
Miscellaneous Revenues
2,000
TOTAL RECEIPTS
-----------------
^--------- $352,000
ESTIMATED EXPENSES
Recycling Services
$352,000
Sanitation Services
-----------------
TOTAL EXPENSES $352,000
TOTAL SOLID WASTE FUND (MEMORANDUM TOTAL ONLY) $352,000
TOTAL ENTERPRISE FUNDS (MEMORANDUM TOTAL ONLY) $18,421,825
INTERNAL SERVICE FUNDS
----------------------
MANAGEMENT INFORMATION SERVICES FUND — FUND NO. 501
ESTIMATED RECEIPTS
Miscellaneous Revenues $1,749
Internal Service Fees 360,853
-----------------
TOTAL RECEIPTS $362,602
ESTIMATED EXPENSES
Operations $362,602
TOTAL EXPENSES ____— ^ $362,602
CENTRAL PURCHASING/STORES FUND — FUND NO. 502
ESTIMATED RECEIPTS
Miscellaneous Revenues $1,466
Internal Service Fees 272,682
-------------
TOTAL RECEIPTS $274,148
ESTIMATED EXPENSES
Operations $274,148
! -------------
TOTAL EXPENSES $274,148
FLEET SERVICES FUND -- FUND NO. 503
ESTIMATED RECEIPTS
Miscellaneous Revenues $2,196
Internal Service Fees 515,583
-------------
TOTAL RECEIPTS $517,779
ESTIMATED EXPENSES
Operations $517,779
-------------
TOTAL EXPENSES $517,779
INSURANCE SERVICES FUND — FUND NO. 504
ESTIMATED RECEIPTS
Miscellaneous Revenues $39,952
. — — — — — — — — Internal Service Fees 917,440
TOTAL RECEIPTS $957,392
ESTIMATED EXPENSES
Administration
$202,834
Operations
255,558
Insurance Claims
354,000
Contingency
145,000
TOTAL EXPENSES
-------------
$957,392
TOTAL INTERNAL SERVICE FUNDS
$2,111,921
(MEMORANDUM TOTAL ONLY)
*****TOTAL ALL FUNDS***** $41,789,204
(MEMORANDUM TOTAL ONLY)---------
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