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HomeMy WebLinkAboutCity of Tamarac Resolution R-98-283.Y Temp. Reso. #8387 September 10, 1998 Page 1 Revision #1 9/23/98 CITY OF TAMARAC, FLORIDA RESOLUTION NO. 11-98-'��3 A RESOLUTION OF THE CITY COMMISSION OF THE CITY OF TAMARAC, FLORIDA, MAKING APPROPRIATIONS FOR THE FISCAL YEAR 1999 BASED ON THE OPERATING AND CAPITAL IMPROVEMENT BUDGET ESTIMATE OF REVENUES AND EXPENDITURES FOR EACH OF THE CITY'S FUNDS; PROVIDING FOR CONFLICTS; PROVIDING FOR SEVERABILITY; AND PROVIDING FOR AN EFFECTIVE DATE. WHEREAS, the fiscal year 1999 Operating and Capital Improvement Budget estimate of the revenues and other sources and the requirement for expenditures and other uses of all City Operating Funds, Departments, Divisions and Offices has heretofore been prepared by the City Manager of the City of Tamarac and submitted to the City Commission, all as required by Section 7.02 of the Charter of the City; and WHEREAS, the personnel complement is amended to incorporate those changes contained in the Fiscal Year 1999 Budget; and WHEREAS, heretofore the City Commission has received said proposed annual budget for the fiscal year 1999 beginning October 1, 1998 as recommended by the City Manager, and has conducted numerous public workshops to analyze and revise said proposed annual budget; and WHEREAS, the City Commission has summarized the budget in advertisements in newspapers of general circulation and has held public hearings thereon; and Temp. Reso. #8387 September 10, 1998 Page 2 Revision #1 9/23/98 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; and WHEREAS, the City Commission 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, typographical corrections from the Proposed Budget document will be printed in the Adopted Budget; and WHEREAS, certain modifications in the accounting structure will be necessary as part of the continuing conversion from the previous FMS accounting system to the new HTE accounting system; and WHEREAS, the Finance Department needs to be able to implement the transition from the previous accounting system to the current accounting structure, in order to implement the FY99 budget; and WHEREAS, the Finance Department needs the authority to change account numbers to conform with the modifications to the current accounting structure; and WHEREAS, the City Commission has determined the amount of money which must be raised to conduct the affairs of the municipality as required by all City Operating Funds, Departments, Divisions and Offices, for the fiscal year 1999 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 Temp. Reso. #8387 September 10, 1998 Page 3 Revision #1 9/23/98 property, real and personal, within the corporate limits of the City of Tamarac. NOW, THEREFORE, BE IT RESOLVED BY THE CITY COMMISSION OF THE CITY OF TAMARAC, FLORIDA: Section 1: That the foregoing "WHEREAS" clauses are hereby ratified and confirmed as being true and correct and are hereby made a specific part of this resolution. Section 2: That the Operating and Capital Improvement Budget of the City of Tamarac for the fiscal year beginning October 1, 1998, as set forth in detail in Exhibit "A" attached hereto, and by this reference made a part thereof, be and the same is hereby approved, adopted and accepted as the Operating and Capital Improvement Budget of the City of Tamarac, Florida, for the fiscal year 1999. Section 3: That there be and there is hereby appropriated out of the Total Operating and Capital Outlay Budget to the several City Operating Funds, Departments, Divisions and Offices, for the fiscal year 1999, the several sums as set forth in Exhibit "A" attached hereto and in the final Budget document as adopted by the City Commission. Section 4: That there is hereby appropriated for said fiscal year the several amounts set forth in the following tabulations which defines the City of Tamarac's departments or appropriation centers, consistent with the operating and capital improvement budget allocations, which shall permit said appropriations to occur consistent with Section 7.10(d) of the City Charter: General Fund Other Funds Temp. Reso. #8387 September 10, 1998 Page 4 Revision #1 9/23/98 Building $955,943 Community Development $1,028,981 Finance $1,331,668 General Government $2,124,638 Non -Departmental $6,946,852 Parks and Recreation $1,670,767 Personnel $484,368 Police Services $7,209,636 Public Works $2,916,943 Recycling $290,875 TOTAL $24,960,671 Fire Rescue Fund $6,668,870 Fleet Services Fund $904,919 Insurance Services Fund $1,786,029 Management Information Services Fund $1,048,976 Temp. Reso. #8387 September 10, 1998 Page 5 Revision #1 9/23/98 Stormwater Management Fund $2,162,319 Utilities Bond Service Fund $2,225,820 Utilities CIAC Fund $2,250,000 Utilities Operating Fund $15,646,508 1992 General Obligation Bond Fund $795,320 Capital Improvement Projects Fund $656,640 Senior/Community Center Construction Fund $100,000 State Housing Initiatives Program (SHIP)Fund $310,000 Grants Fund $398,617 Section 5: That the City Manager, in accordance with Section 7.10 (d) of the City Charter, is authorized to make budgetary transfers within the above appropriation centers and from the nondepartmental to all other appropriation centers within the General Fund. Section 6: That the fiscal year 1999 Budget by fund be automatically amended to reappropriate encumbrances, contracts outstanding, capital outlay or projects reserved, or accrued funds from fiscal year 1998, and the City Manager is hereby authorized to carry out said reappropriations and capital allocations. Section 7: That the Director of Finance shall have the authority to reappropriate in fiscal year 1999 those unexpended appropriations from the fiscal year 1998 pertaining to any capital improvement project not yet completed; said projects having been previously approved by the City Commission. Temp. Reso. #8387 September 10, 1998 Page 6 Revision #1 9/23/98 Section 8: The Director of Finance shall have the authority to continue the conversion to the new accounting system including, but not limited to, appropriate transfers as necessary for correct budgeting and accounting purposes. Section 9: That the City Manager shall have the authority to transfer interfund appropriations for completed projects to their original funding source; said funding having been previously approved by the City Commission. Section 10: That 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 11: That all Resolutions or parts of Resolutions in conflict herewith are hereby repealed to the extent of such conflict. Section 12: That if any clause, section, other part or application of this Resolution is held by any court of competent jurisdiction to be unconstitutional or invalid, in part or application, it shall not affect the validity of the remaining portions or applications of this Resolution. Temp. Reso. #8387 September 10, 1998 Page 7 Revision #1 9/23/98 Section 13: That this Resolution shall become effective immediately upon its passage and adoption. PASSED THIS -3 ATTE Carol Gold C /AAE City Clerk DAY OF'-yu4k�-, 1998, JOE SCHREIBER, MAYOR Y CERTIFY th t I have approved ion as orm. t RECORD OF COMMISSION VOTE Mi Aell-§ffi& MAYOR SCHREIBER City Attorney DIST 1: COMM. MIKAYE�=1 DIST 2: V/M MISHKIN-— DIST 3: COMM. SULTANOF =� DIST 4: COMM. ROBERTS .�=—