HomeMy WebLinkAboutR-2006-158 Final Adopted Budget FY 06-07 RESOLUTION NO. 2006-158
A RESOLUTION OF THE CITY OF DANIA BEACH, FLORIDA, AS
REQUIRED BY THE CITY CHARTER AND SECTION 200.065, FLORIDA
STATUTES, APPROVING ITS ANNUAL BUDGET FOR THE FISCAL YEAR
2006-07; PROVIDING FOR A PUBLIC HEARING WHEN OBJECTIONS
THERETO WILL BE HEARD AND QUESTIONS CONCERNING SAME
WILL BE ANSWERED; PROVIDING FOR CONFLICTS; FURTHER,
PROVIDING FOR AN EFFECTIVE DATE.
WHEREAS, the City Charter of the City of Dania Beach, Florida requires that the City
Commission shall, by Resolution, adopt an annual budget, determine the amount of millage
necessary to be levied and publish the budget so adopted, together with a notice stating the time
and place where objections thereto will be heard; and
WHEREAS, the City Manager of the City of Dania.Beach, Florida, has prepared and
submitted to the City Commission an annual report covering the operation of the City and has set
forth in it an estimate of the expenditures and revenues of the City for the ensuing year, beginning
October 1, 2006 and ending September 30, 2007, with a copy of such report and estimate being
on file in the office of the City Clerk so that any interested party may view such copy upon
request; and
WHEREAS, the City Manager has presented to the City Commission detailed
information supporting such estimate, affording the City Commission a comprehensive
understanding of the City Government for the ensuing period, including expenditures for
corresponding items during the last two fiscal years and increase and decrease demands for the
ensuing year as compared with corresponding appropriations for the last fiscal year; and
WHEREAS, the City Commission has met and carefully considered such annual report
and estimate for the ensuing year and has prepared a tentative budget setting forth the amounts
necessary to be raised for the various departments of the City and has appropriated such amounts
to the various departments of the City considering the applicable funds on hand and the estimated
departmental revenues; and
WHEREAS, the City Commission tentatively adopted the budget on September 14, 2006
after a public hearing was held;
NOW, THEREFORE, BE IT RESOLVED BY THE CITY COMMISSION OF THE
CITY OF DANIA BEACH, FLORIDA:
Section 1. That a budget for the City of Dania Beach, Florida, for the fiscal year
beginning October 1, 2006, and ending September 30, 2007, is finally adopted. A copy of such
budget summary is attached to this Resolution and made a part of it as "Exhibit A" and the
appropriations set out in it are made for the maintenance and carrying on of the government of
the City of Dania Beach, Florida, and for the purpose of paying debt service requirements, if any,
• of the City for the fiscal year beginning October 1, 2006, and ending September 30, 2007.
Section 2. That all delinquent taxes collected as proceeds from levies of operating
millages for former years are specifically appropriated for the use and benefit of the "General
Fund".
Section 3. Automatic Amendment: That the Fiscal Year 2006-07 budget is automatically
amended to reappropriate encumbrances, outstanding contracts, capital projects reserved or
unexpended from Fiscal Year 2006, such appropriation having been previously approved by the
City Commission.
Section 4. Upon approval of the Assistant City Manager postion, the Director of Finance is
authorized to reclassify the budget for expenditures related to Code Enforcement, and Parking
Enforcement from the appropriate Department Budget to the budget of the Office of the City
Manager.
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Section 5. That all resolutions or parts of resolutions in conflict with this Resolution are
repealed to the extent of such conflict.
Section 6. That this Resolution shall take effect and be in force immediately upon its
passage and adoption
PASSED AND ADOPTED on September 20, 2006.
PATRICIA FLURY
MAYOR-COMMISSIONER
ATTEST:
r
LOUISE STILSON, CMC
CITY CLERK
APPROVED AS TO F AND CORRECTNESS:
T
BY: /
TH(MAS .IANP BRO
CITY ATf ORNEY
3 RESOLUTION#2006-158
• EXHIBIT "A"
GENERAL FUND
Account Description FY 2007
Mayor and Commission 330,008
City Manager Office 495,041
Information Services 383,653
Human Resources 494,477
City Attorney 712,980
Code Enf. &Planning 1,984,514
Building 1,308,508
City Clerk 394,258
Finance 761,220
General Admin 5,699,926
Cemetery 104,926
Police 8,665,687
Fire Rescue 8,886,212
Solid Waste Division 1,662,324
Public Services Administration 198,206
Construction&Mtn. Div 271,721
Fleet Management 112,033
Parks Maintenance 333,369
Streets 1,636,616
Recreation Administration 666,853
Beach 684,834
C.W. Thomas Park 75,348
I.T. Parker Center 82,905
Frost Park 186,219
PJ Meli Aquatic Center 258,423
PJ Meli Park 111,881
Summer Program 114,762
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• CAPITAL PROJECTS FUND
Department Projects FY 2007 Funding
City Manager City Hall Expansion/Renovation 50,000 General Fund
Generator for 2nd floor of City Hall 100,000 Loan
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Community Dev. Replace 1994 Ford 22,200 General Fund
Code Enforcement 2 vehicles for 2 new code officers 56,000 General Fund
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Fire Fire Station 93/Police Sub-Station 550,000 G.O Bond
Fire Inspector Vehicle 20,000 General Fund
Beach Beach Improvements 322,500 Im act/Gen. Fund
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Parks&Recreation Recreation Center, C.W. Thomas Park 215,000 G.O./FRDAP/Im act
Parking Meters 22,000 General Fund
P.J.Meli Parking Lot 30,000 General Fund
Pier Deck Re lace/Trex Railing/1 sun shelter 50,000 General Fund
Laser Grade&Resod 100,000 G.O.Bond/Gen.Fund
P.J.Meli Fencing 40,000 General Fund
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Public Services Public Services Complex 2,600,000 Loan/Enterprise Fd
• Main Corridors Landscape 150,000 FDOT
Neighborhood Redevelopment 100,000 General Fund
Neigh.Imp.: Traffic Calming/lighting/sidewalk 1,000,000 G.O.Bond
Garage Fleet Bucket Truck 77,000 3 cents gas tax
% �;
Debt Service Principal/Interest 1,176,898
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Reserve Reserve for shortfall of G.O. Bond projects 200,000
TOTAL 6,881,598
•
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WATER FUND
Account Description FY 2007 Proposed
Water Administration 1,102,809
Water Accounting 165,305
Water Distribution 1,905,214
Water Plant 2,925,132
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SEWER FUND
Account Description FY 2007 Proposed
Sewer Administration 897,410
• Sewer Accounting 81,344
Sewer Collection 4,608,979
STORMWATER FUND
Account Description FY 2007 Proposed
Stormwater Operations 891,914
OTHER FUNDS
Debt Service Fund: $630,538 (include G.O. Bond Debt Service)
Tree Preservation Fund: $48,000
• Marina Fund: $315,455
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