Loading...
R-2011-03 CITY OF CLERMONT RESOLUTION NO. 2011 -03 A RESOLUTION OF THE CITY OF CLERMONT, LAKE COUNTY, FLORIDA, AUTHORIZING BUDGET AMENDMENTS FOR THE CITY OF CLERMONT FOR FISCAL YEAR 2010 -2011. WHEREAS, it is hereby found and determined by the City Council of the City of Clermont, Lake County, Florida, that the following budget amendments are necessary for the Fiscal Year October 1, 2010 to September 30, 2011: GENERAL FUND 1. Increase Capital Outlay — Cemetery (10542- 66309) $ 1,000 To amend the budget for the carryforward of unexpended Fiscal Year 2009 -2010 funds to purchase benches for the Cemetery. 2. Increase Group Medical Insurance - (10511- 12300) $ 1,151 Increase Group Medical Insurance - (10515- 12300) $ 224 Increase Group Medical Insurance - (10516- 12300) $ 1,253 Increase Group Medical Insurance - (10521- 12300) $ 69,690 Increase Group Medical Insurance - (10522 - 12300) $ 45,263 Increase Group Medical Insurance - (10541- 12300) $ 1,887 Increase Group Medical Insurance - (10542 - 12300) $ 18,759 Increase Group Medical Insurance - (10544- 12300) $ 5,053 Increase Group Medical Insurance - (10574- 12300) $ 2,308 To amend the budget for the 20% increase in city contribution to the Group Self Insurance Fund, as approved by the City Council on March 8, 2011. 3. Increase Group Medical Insurance (10511-12300) $ 1,508 Increase Group Medical Insurance (10512- 12300) $ 5,382 Increase Group Medical Insurance (10513- 12300) $ 17,518 Increase Group Medical Insurance (10515- 12300) $ 13,023 Increase Group Medical Insurance (10516- 12300) $ 2,028 Increase Group Medical Insurance (10521 - 12300) $ 95,043 Increase Group Medical Insurance (10522- 12300) $ 73,204 Increase Group Medical Insurance (10541- 12300) $ 10,963 Increase Group Medical Insurance (10542- 12300) $ 30,058 Increase Group Medical Insurance (10544- 12300) $ 7,181 Increase Group Medical Insurance (10549- 12300) $ 5029 CITY OF CLERMONT RESOLUTION NO. 2011 -03 Increase Group Medical Insurance (10574- 12300) $ 5,827 To amend the budget for the transfer to the Group Self Insurance Fund to eliminate the December 31 deficit balance, as approved by the City Council on March 8, 2011. 4. Increase Other Current Charges (10519- 54900) $ 25,000 To amend the budget for the cost of the Bee's Auto lawsuit settlement. 5. Increase Software Renewals /Support (10521- 55219) $ 27,504 To amend the budget for software maintenance costs pertaining to the Police Department's New World Software. 6. Increase Regular Salaries (10522- 12100- 22003) $ 73,012 Increase FICA (10522- 12220- 22003) $ 5,584 Increase Pension (10522 - 12240- 22003) $ 16,062 Increase Group Medical Insurance (10522- 12300- 22003) $ 20,538 Increase Life Insurance (10522- 12305- 22003) $ 215 Increase Federal Grants (10331- 33122 - 22003) $ 115,411 To amend the budget for personnel costs and corresponding Federal Grant for two firefighters, as approved by the City Council on August 10, 2010. 7. Increase Contract Services — Mosquito Control (10542-55211) $ 14,500 To amend the budget for the cost of mosquito control spraying, as approved by the City Council on August 24, 2010. 8. Increase Other Current Charges (10544 - 54900) $ 2,949 To amend the budget for the cost of removing a Public Services Department fuel tank, as approved by the City Council on November 7, 2010. 9. Increase Capital Outlay — Equipment (10521- 66401 - 21012) $ 16,815 Increase Federal Grants (10331 - 33120 - 21012) $ 16,815 To amend the budget for the cost of purchasing a Police Department variable message board trailer and corresponding Federal Grant, as approved by the City Council on June 8, 2010. CITY OF CLERMONT RESOLUTION NO. 2011 -03 10. Increase Capital Outlay — Equipment (10521- 66401 - 21011) $ 12,994 Increase Federal Grants (10331- 33120- 21011) $ 12,169 To amend the budget for the cost of purchasing a Police Department Special Events Vehicle and corresponding Federal Grant, as approved by the City Council on June 8, 2010. 11. Increase Temporary Salaries (10574 - 12140) $ 20,950 Increase FICA (10574 - 12220) $ 1,602 To amend the budget for the cost of staffing lifeguards at the Waterfront Park, as approved by the City Council on August 10, 2010 12. Decrease Fund Balance (10599 - 59900) $ 506,682 Total General Fund adjustments BUILDING SERVICES FUND 1. Increase Group Medical Insurance - (11524-12300) $ 3,407 To amend the budget for the 20% increase in city contribution to The Group Self Insurance Fund, as approved by the City Council on March 8, 2011. 2. Increase Group Medical Insurance (11524- 12300) $ 3,111 To amend the budget for the transfer to the Group Self Insurance Fund to eliminate the December 31 deficit balance, as approved by the City Council on March 8, 2011 3. Decrease Fund Balance (11599- 59900) $ 6,518 Total Building Services Fund Adjustments. INFRASTRUCTURE FUND 1 Increase Capital Outlay — Sidewalks (12541- 66303) $ 17,647 To amend the budget for the carryforward of unexpended Fiscal Year 2009 -2010 funds for additional sidewalk projects. 2. Decrease Fund Balance (12599 - 59900) $ 17,647 Total Infrastructure Fund adjustments. CITY OF CLERMONT RESOLUTION NO. 2011 -03 RECREATION IMPACT FEE FUND 1. Increase Professional Services — Inland Groves (14542 - 53100- 72106) $ 15,968 To amend the budget for the carryforward of unexpended Fiscal Year 2009 -2010 funds for the development of the Inland Groves property. 2. Decrease Fund Balance (14599 - 59900) $ 15,968 Total Recreation Impact Fee Fund adjustments. POLICE IMPACT FEE FUND 1. Increase Professional Services — Police Station Expansion (15521-53188-21100) 150,000 To amend the budget for the carryforward of unexpended Fiscal Year 2009 -2010 funds for architectural services pertaining to the expansion of the Police Station. 2. Decrease Fund Balance (15599 - 59900) $ 150,000 Total Police Impact Fee Fund Adjustments. CAPITAL PROJECTS FUND 1. Increase Capital Outlay — West Park (32542- 66301- 72100) $ 643,504 To amend the budget for the carryforward of unexpended Fiscal Year 2009 -2010 funds for the West Park Improvement Project. 2. Decrease Fund Balance (32599 - 59900) $ 643,504 Total Capital Projects Fund Adjustments. WATER FUND 1. Increase Capital Outlay — Water System (41533- 66307 - 38101) $ 27,740 To amend the budget for the Bowman Street Drainage Improvements project, as approved by City Council on January 25, 2011. 2. Increase Group Medical Insurance (41533- 12300) $ 21,592 To amend the budget for the 20% increase in city contribution to the Group Self Insurance Fund, as approved by the City Council on March 8, 2011. CITY OF CLERMONT RESOLUTION NO. 2011 -03 3. Increase Group Medical Insurance (41533- 12300) $ 42,299 To amend the budget for the transfer to the Group Self Insurance Fund to eliminate the December 31 deficit balance, as approved by the City Council on March 8, 2011. 4. Increase Other Improvements — Water System (41533- 66300 - 33102) $ 175,000 To amend the budget for the carryforward of unexpended Fiscal Year 2009 -2010 funds for the Utilities System Security upgrades. 5. Increase Repair & Maintenance — Tanks (41533 -5461 1) $ 187,000 To amend the budget for the cost of recoating and repairing the East Elevated Water Storage Tank, as approved by the City Council on April 27, 2010. 6. Decrease Fund Balance (41599- 59900) $ 453,631 Total Water Fund adjustments. SEWER FUND 1. Increase Capital Outlay — Sewer System (42535- 66305- 38101) $ 93,877 To amend the budget for the Bowman Street Drainage Improvements project, as approved by City Council on January 25, 2011. 2. Increase Group Medical Insurance - (42535- 12300) $ 19,348 To amend the budget for the 20% increase in city contribution to the Group Self Insurance Fund, as approved by the City Council on March 8, 2011. 3. Increase Group Medical Insurance — (42535 - 12300) $ 32,953 To amend the budget for the transfer to the Group Self Insurance Fund to eliminate the December 31 deficit balance, as approved by the City Council on March 8, 2011. 4. Decrease Fund Balance (42599 - 59900) $ 146,178 Total Sewer Fund adjustments. CITY OF CLERMONT RESOLUTION NO. 2011 -03 SEWER IMPACT FEE FUND 1. Increase Other Improvements - Sewer System (44535- 66300 - 35102) $ 175,000 To amend the budget for the carryforward of unexpended Fiscal Year 2009 -2010 funds for the Utilities System Security upgrades. 2. Decrease Fund Balance (44535 - 59900) $ 175,000 Total Sewer Impact Fee Fund adjustments. STORMWATER FUND 1. Increase Capital Outlay — Stormwater System (45538- 66306 - 38101) $ 237,573 To amend the budget for the Bowman Street Drainage Improvements project, as approved by City Council on January 25, 2011. 2. Increase Group Medical Insurance (45538- 12300) $ 12,729 To amend the budget for the 20% increase in city contribution to the Group Self Insurance Fund, as approved by the City Council on March 8, 2011. 3. Increase Group Medical Insurance (45538- 12300) $ 12,928 To amend the budget for the transfer to the Group Self Insurance Fund to eliminate the December 31 deficit balance, as approved by the City Council on March 8, 2011. 4. Decrease Fund Balance (45599 - 59900) $ 263,230 Total Stormwater Fund adjustments. SANITATION FUND 1. Increase Group Medical Insurance (49534- 12300) $ 7,173 To amend the budget for the 20% increase in city contribution to the Group Self Insurance Fund, as approved by the City Council on March 8, 2011. 2. Increase Group Medical Insurance (49534- 12300) $ 23,799 To amend the budget for the transfer to the Group Self Insurance Fund to eliminate the December 31 deficit balance, as approved by the City Council on March 8, 2011. CITY OF CLERMONT RESOLUTION NO. 2011 -03 3. Decrease Fund Balance (49599 - 59900) $ 30,972 Total Sanitation Fund adjustments. COMMUNITY REDEVELOPMENT AGENCY FUND 1. Increase Group Medical Insurance (60552- 12300) $ 182 To amend the budget for the 20% increase in city contribution to the Group Self Insurance Fund, as approved by the City Council on March 8, 2011. 2. Increase Group Medical Insurance (60552- 12300) $ 138 To amend the budget for the transfer to the Group Self Insurance Fund to eliminate the December 31 deficit balance, as approved by the City Council on March 8, 2011. 3. Decrease Fund Balance (60599 - 59900) $ 320 Total Community Redevelopment Agency Fund adjustments. NOW, THEREFORE, BE IT RESOLVED, that the above said budget amendments of the City of Clermont for the Fiscal Year 2010 -201 1 are hereby adopted. DONE AND RESOLVED by the City Council of the City of Clermont, Lake County, Florida, this 26th day of April, 2011. CITY OF CLERMONT o d S. Turville, Jr., Mayor ATTES Tracy Ackrod', ity Clerk / , • • e