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Resolution No. 2020-37RCITY OF CLERMONT RESOLUTION NO.2020-37R A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF CLERMONT, LAKE COUNTY, FLORIDA, AUTHORIZING BUDGET AMENDMENTS FOR THE CITY OF CLERMONT FOR FISCAL YEAR 2019-2020 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, 2019 to September 30, 2020: GENERAL FUND 1. Increase Capital Equipment— Justice Funds (10521-66401-21900) $ 6,321 To amend the Police Department budget for SWAT rifle expenditures related to Federal Forfeiture Funds. 2. Increase Regular Salaries (10512-12100) $ 52,276 Increase FICA (10512-12220) $ 3,264 Increase DC Pension (10512-12240) $ 3,857 Increase Group Medical Insurance (10512-12300) $ 7,073 Increase Life Insurance (10512-12305) $ 5 Increase EAP (10512-12315) $ 6 Increase Workers Comp (10512-12400) $ 29 Decrease Regular Salaries (10515-12100) $ 53,300 Decrease FICA (10515-12220) $ 3,300 Decrease DC Pension (10515-12240) $ 1,482 Decrease Group Medical Insurance (10515-12300) $ 26,480 Decrease Life Insurance (10515-12305) $ 184 Decrease EAP (10515-12315) $ 28 Increase Regular Salaries (10516-12100) $ 47,850 Increase FICA (10516-12220) $ 4,440 Increase DC Pension (10516-12240) $ 3,887 Increase Group Medical Insurance (10516-12300) $ 613 Increase Life Insurance (10516-12305) $ 146 Increase EAP (10516-12315) $ 9 Increase Workers Comp (10516-12400) $ 35 Decrease Regular Salaries (10565-12100) $ 19,258 Decrease FICA (10565-12220) $ 1,182 Decrease DC Pension (10565-12240) $ 7,097 Decrease Group Medical Insurance (10565-12300) $ 11,088 Decrease Life Insurance (10565-12305) $ 77 Decrease EAP (10565-12315) $ 14 CITY OF CLERMONT RESOLUTION NO.2020-37R To amend the City Manager, Planning & Development Services, Information Technology and Purchasing Department budgets for personnel changes approved by the City Manager. Increase Regular Salaries (10521-12100) $ 149,751 Increase FICA (10521-12220) $ 11,456 Increase DB Pension (10521-12245) $ 20,561 Increase Life Insurance (10521-12305) $ 393 Increase Workers Comp (10521-12400) $ 3,069 To amend the Police Department budget for an MOU Agreement related to Police Department wages approved by the City Council on April 14, 2020. 4. Increase Fund Balance: Beginning Reserves (10399-39900) $ 682,342 To amend the budget to reflect actual reserves at October 1, 2019. 5. Increase Fund Balance: Ending Reserves (10599-59900) $ 490,791 BUILDING SERVICES FUND 1. Increase Fund Balance: Beginning Reserves (11399-39900) $ 611,578 To amend the budget to reflect actual reserves at October 1, 2019. 2. Increase Fund Balance: Ending Reserves (11599-59900) $ 611,578 Total Building Services Fund Adjustments. INFRASTRUCTURE SALES TAX FUND 1. Increase Fund Balance: Beginning Reserves (12399-39900) $ 601,103 To amend the budget to reflect actual reserves at October 1, 2019. 2. Increase Capital Outlay — Other Improvement Fiber (12516-66300) $ 2,899 Increase Capital Outlay — Fiber Optic Network Expan (12516-66300-16000) $ 221,231 Increase Capital Outlay - Pro Services Fiber Optic (12516-66900-16000) $ 11,224 To amend the Information Technology Department budget for the carryforward of unexpended FY 2019 funds for fiber network improvements and related professional services. 3. Increase Capital Outlay— Sidewalks (12541-66303) $ 72,155 To amend the Public Services Department budget for the carryforward of unexpended FY 2019 funds for sidewalks. 4. Increase Capital Outlay — Other Improvement (12542-66303-72113) $ 95,000 2 CITY OF CLERMONT RESOLUTION NO.2020-37R To amend the Public Services Department budget for the carryforward of unexpended FY 2019 funds for Lake Hiawatha floating dock. 5. Increase Fund Balance: Ending Reserves (12599-59900) $ 198,594 Total Infrastructure Sales Tax Fund adjustments. CEMETERY FUND 1. Increase Fund Balance: Beginning Reserves (13399-39900) $ 45,827 To amend the budget to reflect actual reserves at October 1, 2019. 2. Increase Fund Balance: Ending Reserves (13599-59900) $ 45,827 Total Cemetery Fund adjustments. RECREATION IMPACT FEE FUND 1. Increase Fund Balance: Beginning Reserves (14399-39900) $ 681,043 To amend the budget to reflect actual reserves at October 1, 2019. 2. Increase Fund Balance: Ending Reserves (14599-59900) $ 681,043 Total Recreation Impact Fee Fund adjustments. POLICE IMPACT FEE FUND 1. Increase Fund Balance: Beginning Reserves (15399-39900) $ 193,531 To amend the budget to reflect actual reserves at October 1, 2019. 2. Increase Fund Balance: Ending Reserves (15599-59900) $ 193,531 Total Police Impact Fee Fund adjustments. FIRE IMPACT FEE FUND 1. Increase Fund Balance: Beginning Reserves (16399-39900) $ 356,192 To amend the budget to reflect actual reserves at October 1, 2019. 2. Increase Capital Outlay —Equipment (16522-66401) $ 5,500 To amend the Fire Department budget to fund additional costs for a special operations trailer. 3. Increase Capital Outlay —Building (16522-66201) $ 9,000 To amend the Fire Department budget to fund additional costs for a storage building at fire station #4. 3 CITY OF CLERMONT RESOLUTION NO.2020-37R 4. Increase Fund Balance: Ending Reserves (16599-59900) $ 341,692 Total Fire Impact Fee Fund adjustments. DEBT SERVICE FUND 1. Increase Fund Balance: Beginning Reserves (22399-39900) $ 5,147 To amend the budget to reflect actual reserves at October 1, 2019. 2. Increase Fund Balance: Ending Reserves (22599-59900) $ 5,147 Total Debt Service Fund Adjustments. CAPITAL PROJECTS FUND 1. Increase Fund Balance: Beginning Reserves (32399-39900) $ 1,145,312 To amend the budget to reflect actual reserves at October 1, 2019. 2. Increase Fund Balance: Ending Reserves (32599-59900) $ 1,145,312 Total Capital Project Fund Adjustments. WATER FUND 1. Increase Fund Balance: Beginning Reserves (41399-39900) $ 1,153,235 To amend the budget to reflect actual reserves at October 1, 2019. 2. Increase Fund Balance: Ending Reserves (41599-59900) $ 1,153,235 Total Water Fund Adjustments. SEWER FUND 1. Increase Fund Balance: Beginning Reserves (42399-39900) $ 3,799,178 To amend the budget to reflect actual reserves at October 1, 2019. 2. Increase Fund Balance: Ending Reserves (42599-59900) $ 3,799,178 Total Sewer Fund Adjustments. 4 CITY OF CLERMONT RESOLUTION NO.2020-37R WATER IMPACT FEE FUND 1. Increase Fund Balance: Beginning Reserves (43399-39900) To amend the budget to reflect actual reserves at October 1, 2019. 2. Increase Fund Balance: Ending Reserves (43599-59900) Total Water Impact Fund Adjustments. SEWER IMPACT FEE FUND 1. Increase Fund Balance: Beginning Reserves (44399-39900) To amend the budget to reflect actual reserves at October 1, 2019. 2. Increase Fund Balance: Ending Reserves (44599-59900) Total Sewer Impact Fund Adjustments. STORMWATER FUND 1. Decrease Fund Balance: Beginning Reserves (45399-39900) $ 634,542 $ 634,542 $ 4,063,256 $ 4,063,256 $ 1,216,411 2. Decrease Capital Outlay - Stormwater Improvements (45538-66306) $ 450,000 To amend the Public Services Department budget for stormwater capital projects to be constructed during FY 2021. 3. Decrease Fund Balance: Ending Reserves (45599-59900) $ 766,411 Total Stormwater Fund Adjustments SANITATION FUND 1. Increase Fund Balance: Beginning Reserves (49399-39900) $ 496,704 To amend the budget to reflect actual reserves at October 1, 2019. 2. Increase Fund Balance: Ending Reserves (49599-59900) $ 496,704 Total Sanitation Fund adjustments. GROUP SELF INSURANCE FUND 1. Increase Fund Balance: Beginning Reserves (52399-39900) $ 80,490 To amend the budget to reflect actual reserves at October 1, 2019. 2. Increase City OAP Health Contribution (52341-34127) $ 130,995 To amend the budget for additional city contributions. E CITY OF CLERMONT RESOLUTION NO.2020-37R 3. Increase Fund Balance: Ending Reserves (52599-59900) $ 211,485 Total Group Self Insurance Fund adjustments. CRA FUND 1. Increase Fund Balance: Beginning Reserves (60399-39900) $ 43,020 To amend the budget to reflect actual reserves at October 1, 2019. 2. Increase Fund Balance: Ending Reserves (60599-59900) $ 43,020 Total CRA Fund adjustments. Net Increase to Fund Balance — All Funds $ 13,348,524 CITY OF CLERMONT RESOLUTION NO.2020-37R NOW, THEREFORE, BE IT RESOLVED, that the above said budget amendments of the City of Clermont for the Fiscal Year 2019-2020 are hereby adopted. DONE AND RESOLVED by the City Council of the City of Clermont, Lake County, Florida, this 14th day of July, 2020. G Tracy Ackroyd Howe, City Clerk and legality: Daniel F. Mantzaris, City Attorney %/ CITY OF CLERMONT