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2020-R-34 - Final Budget - appropriations RESOLUTION 2020-R-34 A RESOLUTION OF THE CITY COUNCIL OF EDGEWATER, FLORIDA, ADOPTING THE FINAL GENERAL FUND, ENTERPRISE FUNDS, AND ALL OTHER RELATED FUNDS BUDGETS AND THE CAPITAL IMPROVEMENTS PROGRAM FOR THE FISCAL YEAR 2020-2021; PROVIDING FOR APPROPRIATIONS; PROVIDING SEVERABILITY AND FOR AN EFFECTIVE DATE. WHEREAS,the City Manager of the City of Edgewater has recommended a final annual budget for the next ensuing fiscal year beginning October 1, 2020 and ending September 30, 2021; and WHEREAS,a notice of public hearing on said budget was duly published; and WHEREAS,a public hearing was held on September 14, 2020, after having first adopted a tentative millage rate for the City for the Fiscal year 2020-2021, to consider the tentative budget and all persons desiring to voice objection or make comments upon said budget were given an opportunity to do so; and WHEREAS, within five days after due public advertising, a Public Hearing will be held to finalize the budget on September 28, 2020; and WHEREAS, a public hearing as required by Florida Statute 200.065 was held on September 28, 2019, after having first adopted a final voted debt service and operating millage rates for the City for the Fiscal year 2020-2021, to consider the final budget and all persons desiring to voice objection or make comments upon said budget were given an opportunity to do so; and WHEREAS, the City of Edgewater, Florida, set forth the appropriations and revenue estimate for the Budget for Fiscal Year 2020-2021 in the amount of$54,458,950. NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF EDGEWATER, FLORIDA: Section 1: That the City Council of the City of Edgewater, Florida pursuant to the Charter of the City of Edgewater and Chapter 166, Florida Statutes, does hereby adopt the Tentative General, Enterprise and all other related Fund Budgets and Capital Improvements Programs, which are attached hereto and incorporated herein as Exhibit "A" which may later be amended by the City Council. 1 Resolution#2020-R-34 Section 2. If any section, subsection, sentence, clause, phrase or portion of this Resolution is for any reason held invalid or unconstitutional by any court of competent jurisdiction, such portion shall be deemed a separate, distinct and independent provision and such holding shall not affect the validity of the remaining portion hereto. Section 3. This Resolution shall become effective immediately upon passage and adoption. After Motion for approval by :` ' � �- r. c. _s and Second by the vote on this Resolution was as follows: AYE NAY Mayor Mike Thomas Councilwoman Christine Power �c Councilwoman Kimberly Yaney Councilman Megan O'Keefe Councilman Gary Conroy PASSED,APPROVED AND ADOPTED this 281h day of September,2020. ATTEST: CITY COUNCIL OF THE ITY DGEW R, ORI CCU B Robin L. Matusick Mike TVnas City Clerk/Paralegal For the use and reliance only by the City of Edgewater, Approved by the City Council of the City of Edgewater Florida. Approved as to form and legality by: at a meeting held on this 286' day of September, 2020 Aaron R.Wolfe,Esquire under Agenda Item No. 8 City Attorney Doran,Sims,Wolfe&Ciocchetti 2 Resolution#2020-R-34 EXHIBIT A PROPOSED FY 2020 - 2021 BUDGET REVENUES AND EXPENSES REVENUE EXPENSES 001 -GENERAL FUND $ 17,161,126 $ 17,161,126 114-GRANTS FUND NON-DEPARTMENTAL $ 13,914 $ 13,914 115-SPECIAL LAW ENFORCEMENT TRUST FUND $ 50,000 $ 50,000 116-TRANSPORTATION IMPACT FEE $ 432,500 $ 432,500 117- POLICE IMPACT FEE FUND $ 20,000 $ 20,000 118 -FIRE IMPACT FEE FUND $ 50,000 $ 50,000 119- RECREATION IMPACT FEE $ 150,000 $ 150,000 120-SCHOLARSHIP FUND $ 11,000 $ 11,000 122-TREE MITIGATION FUND $ 70,482 $ 70,482 125-EDGEWATER CRA $ 517,736 $ 517,736 205-I&S DEBT SERVICE FUND $ 437,688 $ 437,688 331 -CAPITAL PROJECTS FUND $ 176,017 $ 176,017 440 -WATER&SEWER $ 12,299,749 $ 12,299,749 442-WATER DEVELOPMENT $ 140,175 $ 140,175 443-SEWER DEVELOPMENT $ 228,150 $ 228,150 444-RENEWAL&REPLACEMENT $ 6,687,867 $ 6,687,867 445-WATER&SEWER RATE STABILIZATION $ 1,307,394 $ 1,307,394 447 -SOLID WASTE $ 3,626,606 $ 3,626,606 448-STORMWATER OPERATING $ 2,551,857 $ 2,551,857 449 -STORMWATER CAPITAL PROJECTS $ 3,123,234 $ 3,123,234 501 -MIS $ 702,476 $ 702,476 502 -FLEET $ 1,120,269 $ 1,120,269 503 -LOSS FUND $ 389,231 $ 389,231 504-FULLY INSURED INSURANCE $ 2,910,114 $ 2,910,114 505-WORKERS COMPENSATION $ 281,365 $ 281,365 TOTAL ALL FUNDS $ 54,458,950 $ 54,458,950