Press Alt + R to read the document text or Alt + P to download or print.
This document contains no pages.
Annual Budget (2020 - 2021)City of Clermont, Florida
i
WO
cLE
NT
Choice of Champions
Adopted Budget
Fiscal Year 2021
7 O�
r
4:00t 0&
8 Sss �
3.23
9. 15
T, 3=
98q " _ -
�E
LERI"(ONT
Choice of Champions
6'- .
TER ONT
Chdre of Champions'
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 ADOPTED BUDGET
TABLE OF CONTENTS
Introductory Section
Budget Message 1
List of City Officials 5
City Wide Organizational Chart 7
Fund Summaries
All Funds
10
General
13
Building Services
14
Infrastructure Surtax
15
Cemetery
16
Recreation Impact Fees
17
Police Impact Fees
18
Fire Impact Fees
19
Fire Inspection
20
Debt Service
21
Capital Projects
22
Water
23
Water Impact Fees
24
Sewer
25
Sewer Impact Fees
26
Stormwater
27
Sanitation
28
Group Self Insurance
29
Community Redevelopment Agency
30
Revenues 31
Expenditures by Department
City Council
53
City Clerk
55
City Manager
59
Finance
65
Legal
69
Planning & Development Services
71
6'- .
TER ONT
Chdre of Champions'
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 ADOPTED BUDGET
TABLE OF CONTENTS
Expenditures by Department (continued)
Information Technology
77
Human Resources
81
Procurement Services
85
General Government
89
Police
93
Fi re
101
Building Services
109
Economic Development
113
Parks and Recreation
115
Public Services
129
Transfers
161
Position Allocation Schedule 165
Millage Rates Comparison 167
Utility Rate Comparison 169
Five Year Capital Plan 177
Budget Resolutions
Resolution 2020-59R 181
Resolution 2020-60R 183
WONT
DERC
Choice of Champions
September 17, 2020
Honorable Mayor Gail Ash
and Council Members
Dear Mayor and Council Members:
DARREN S. GRAY
City Manager
352-241-7358
dgray@clermontfl.org
The annual budget is the most important document the Council adopts each year. Our challenges are to
understand the priorities of our residents, define acceptable levels of service, and establish and apply
funding sources appropriately. The Adopted Fiscal Year 2021 Budget represents the City's financial
plan to meet those challenges. This year's preparation has been especially challenging during the
COVID-19 pandemic, as we are unable to predict its impact on our future revenues.
The City -Wide Budget totals $157,736,418, which is $4,957,214 (or 3.05%) less than the current year
budget. The primary reason for the decrease stems from economic uncertainty with state shared
revenues due to COVID19 and the completion of the master plan and utility projects in FY 2020. The
General Fund Budget totals $40,588,191, which is $729,305 (or 1.77%) less than the current year
budget. The primary reason for the decrease is the reduction of budgeted state shared and recreation
revenues due to the current economic conditions related to COVID-19. The General Fund budget is
partially funded from reserves this year to cover the projected economic changes due to COVID19.
City -Wide Reserves at the end of FY 2021 are projected to be $53,462,955, which is $3,475,759 (or
6.10%) less than the current year ending reserves. General Fund Reserves at the end of FY 2021 are
projected to be $6,546,691 or 18.95% of operating expenditures. The City's Reserve Policy Resolution
2020-53R requires specific funds' reserves to be at least 25% of operating expenditures. However, in
any year, the City Council as part of the budget adoption may deviate from the 25% target based on
unusual or unforeseen circumstances. As we receive funds from the federal government through the
state, we will replenish our reserves and meet our 25% reserve policy.
Ad Valorem revenue, the City's largest single revenue source, is $14,222,250 which is $1,311,131 (or
10.16%) more than the current year budget. The revenue increase is due to a 10.18% increase in
property taxable values. The City's millage rate is proposed to remain at 4.2061 for the sixth consecutive
year. Clermont's millage rate continues to be among the lowest of other comparable cities in the Central
Florida region (see page 167). Over the last 5 years we have seen a 48% growth in property taxable
values in the City; more than half (51 %) of the growth is directly attributable to new construction.
Utility Fees (Water and Sewer) revenues total $19,808,554 which is $925,391 (or 4.90%) more than the
current year budget. The revenue increase is due to expected continued growth in the city, as well as
utility rate increases tied to inflation based indexes. Clermont's utilities charges still continue to be among
the lowest of other comparable cities in the Central Florida region (see pages169-176).
City -Wide Personnel Services total $35,405,764, which is $3,088,232 (or 9.56%) more than the current
year budget. The primary reasons for the increase are due to contract and merit pay adjustments (24%)
based on annual performance evaluations for all eligible employees, including employees at their pay
grade maximums, as well as the general employee pay scale adjustment effective Sept. 28, 2020.
City -Wide Operating Expenses total $20,381,613 which is $3,107,199 (or 13.23%) less than the
current year budget. The reason for this decrease stems from department reductions to balance the
budget as a result of the current economic outlook.
City -Wide Capital Outlay totals $37,962,604, which is $1,554,030 (or 3.93%) less than the current year
budget. The primary reason for the decrease is the completion of projects in the master plan and a
reduction in available funds from the Infrastructure Sales Tax. The highlights of some significant
departmental capital outlay items and funding sources in the upcoming budget are as follows:
➢ Police Department capital outlay items totaling $449,600. Capital items include (4) replacement
vehicles and (60) body worn cameras with rocket for patrol and patrol support officers. Funding
sources include the General Fund ($100,000) from Federal and State Forfeiture Funds,
Infrastructure Sales Tax Fund ($275,600) and Police Impact Fees Fund ($74,000).
➢ Fire Department capital outlay items totaling $422,759. Capital items include (50) replacement
SCBA Air Packs and accessories, high pressure lift bag kit and strut drivers retrofit kits for Heavy
Rescue, and associated equipment needed for Trench Rescue and Confined Space operations.
Funding sources include the General Fund ($47,759) and Infrastructure Sales Tax Fund
($375,000).
➢ Public Works Division of Public Services Department capital outlay items totaling $7,098,495.
Capital items include enclosed shed at the Oak Hill Cemetery and Public Works Complex design
and construction. Funding sources include the Cemetery Fund ($5,450) and Capital Projects Fund
($7,093,045).
➢ Economic Development Department capital outlay items totaling $3,099,300. The majority of the
capital items included are the master plan projects: Downtown Waterfront Revitalization, Legacy
Loop Trail Spur, and Public Wi-Fi Network. Funding sources include the Master Plan Loan
($3,099,300).
➢ Parks and Recreation Department capital outlay items totaling $97,840. Capital items include
metal storage building at the Clermont Arts and Recreation Center and a new desktop PC at the
Clermont City Center. Funding sources include the General Fund ($1,000) and Recreation Impact
Fees Fund ($96,840).
➢ Environmental Services Division of Public Services capital outlay items totaling $26,774,610.
Capital items include (3) replacement vehicles, vacuum excavation vehicle, dump truck,
replacement rear brush sweeper, drum roller, mobile message board, a portion of the construction
and design for the Public Works Complex, stormwater and water utility improvements related to
the CDBG project in the vicinity of Disston Ave. and School St., lift station submersible pumps and
pipe and valve upgrades, pressure reducing valves, design and construction of lower floridan well
(pump, building controls), water main upsizing from CW Harrell Road to Johns Lake Road,
construction of water mains and gravity sewer, lift station, and forcemain to serve the new Public
Services Complex, upgrade water mains in conjunction with the downtown streetscape project,
WWTF expansion and construction, and several other utility system improvements and various
equipment items. Funding sources include the Water Fund ($3,367,610), Water Impact Fees
($2,950,000), Sewer Fund ($725,000), Sewer Impact Fees ($16,700,000), and Stormwater Fund
($677,000) and Sanitation Fund ($2,355,000).
Organizational changes noted in the budget include the combining of Public Works and Environmental
Services into one department of Public Services, the creation of the Building Services Department,
revised department name for Planning & Development Services as well as the Procurement Services
Department.
The adopted budget represents a sound financial plan for the new fiscal year that continues to provide
the exceptional levels of service expected by our residents. While reserves are being used in some
funds, adequate reserves are being maintained for adjustments and emergencies that may occur
throughout the year.
Thank you for your support and guidance with the budget as we continue to build a bright future for the
city together.
Sincerely,
Darren S. Gray
City Manager
�E
LERI"(ONT
Choice of Champions
CITY OF CLERMONT, FLORIDA
LIST OF CITY OFFICIALS
FISCAL YEAR 2021 ADOPTED BUDGET
ELECTED OFFICIALS
Mayor
Gail L. Ash
Mayor Pro-Tem
Diane Travis
Council Member
Timothy Bates
Council Member
Vacant
Council Member
Jim Purvis
APPOINTED OFFICIALS
City Manager
Darren S. Gray
Assistant City Manager
Susan Dauderis
City Attorney
Dan Mantzaris
City Clerk
Tracy Ackroyd Howe
Building Services Director
Lisa Widican
Communications Director
Kathryn Deen
Finance Director
Pam Brosonski
Fire Chief
David Ezell
Human Resources Director
Nadine Ohlinger
Information Technology Director
Don Dennis
Parks and Recreation Director
Scott Davidoff
Planning & Development Services Director
Curt Henschel
Police Chief
Charles Broadway
Procurement Services Director
Freddy Suarez
Public Services Director
Stoney Brunson
�E
LERI"(ONT
Choice of Champions
CITY OF CLERMONT
FISCAL YEAR 2021
Citizens
Clermont
City Council
City Cit Y Committees
Attorney Manager
Assistant City Manager
Com mun ication s
(Public Information)
S
CLERWI ONT
Choice of Champions
City
Clerk
Finance
Bu Iding
Services
Information
Technology
olice Plannin & Human Procurement
PFire Development Resources Services
Parks &
Recreation
Pubic Sery ces
Records
Finance
Business
GIS
Criminal
Program
g
Water&
Management
Tax Receipts
Investigations
Operations Zoning
Recruitment Bids
Development
Wastewater
Treatment
Cemetery
Utility
Network
Sales&
BillingPermitting
g
Administration
Traffic
Planning
Administration g
Benefits Contracts
Program
Water
Records
Enforcement
Management
Conservation
Election
Budget
Website
Road
Emergency Code
Employee Property
Facility
DistributionCualif
Qualifying
Management
Patrol
Medical Enforcement
Relations Control
Schedu ing
&Collection
Services
Agenda
Development
Cash
Management
Application
Community
Business
Fire Inspection Uasion/
labor
Arts&
Recreation
Sanitation
Support
pP
Relations
&Prevention Concierge
Relations P-Cards
Center
Security
Workers
Special
Construction
Systems
Compensation Fuel Program
Events
Mobility
Asset
Risk
Theater
Management
Management
Operations
&
Sto nm water
Employee
Clermont
Grounds&
Wellness
City Cen ter
Transportation
Aquatics
Fleet &
Facilities
Administration
7
�E
LERI"(ONT
Choice of Champions
�E
LERI"(ONT
Choice of Champions
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021
ALL FUNDS SUMMARY
BUILDING
INFRA-
NON -UTILITY
DEBT
GENERAL
SERVICES
STRUCTURE
CEMETERY
IMPACT FEES
SERVICE
FUND
FUND
FUND
FUND
FUNDS
FUND
REVENUES
AD VALOREM TAXES
13,769,021
-
OTHER TAXES
5,662,012
-
2,666,687
-
LICENSES, PERMITS & FEES
3,500,300
1,161,000
-
1,690,000
INTERGOVERNMENTAL REVENUES
3,578,433
-
-
CHARGES FOR SERVICES
2,298,801
2,500
FINES & FORFEITURES
114,200
-
-
-
-
MISCELLANEOUS REVENUE
1,091,383
7,200
4,200
119,200
16,800
2,400
INTERFUND TRANSFERS
2,147,211
-
-
-
-
2,832,993
REVENUES
$ 32,161,361
$ 1,170,700
$ 2,670,887
$ 119,200
$ 1,706,800
$ 2,835,393
EXPENDITURES
GENERAL GOVERNMENT
4,958,988
-
20,463
-
-
2,807,855
PUBLIC SAFETY
21,662,866
1,707,017
755,637
74,711
-
PHYSICAL ENVIRONMENT
956,966
-
-
-
-
TRANSPORTATION / PUBLIC WORKS
2,950,164
1,049
115,288
574
ECONOMIC ENVIRONMENT
159,782
-
-
-
CULTURE / RECREATION
3,134,267
-
96,840
INTERFUND TRANSFERS
218,467
-
1,893,738
-
720,788
-
EXPENDITURES
$ 34,041,500
$ 1,707,017
$ 2,670,887
$ 115,288
$ 892,913
$ 2,807,855
REVENUES OVER (UNDER)
$(1,880,139)
$(536,317)
$ -
$ 3,912
$ 813,887
$ 27,538
EXPENDITURES
Beginning Reserves
$ 8,426,830
$ 1,606,444
$
$ 1,359,486
$ 3,685,997
$ 1,808,175
Ending Reserves
6,546,691
1,070,127
1,363,398
4,499,884
1,835,713
Restricted Reserves -External
123,855
1,070,127
1,363,398
4,499,884
1,835,713
Restricted Reserves -Emergencies
6,422,836
-
-
-
-
Restricted Res. -Cap Replacement
-
Unrestricted Reserves
-
-
-
Total Reserves
$ 6,546,691
$ 1,070,127
$
$ 1,363,398
$ 4,499,884
$ 1,835,713
NOTE; RESTRICTED RESERVES ARE ESTABLISHED PURSUANT TO CITY OF CLERMONT RESOLUTION NO. 2020-53R
10
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021
�E
CIE R CNT
ALL FUNDS SUMMARY
REVENUES
AD VALOREM TAXES
OTHER TAXES
LICENSES, PERMITS & FEES
INTERGOVERNMENTALREVENUES
CHARGES FOR SERVICES
FINES & FORFEITURES
MISCELLANEOUS REVENUE
INTERFUND TRANSFERS
REVENUES
EXPENDITURES
GENERAL GOVERNMENT
PUBLIC SAFETY
PHYSICAL ENVIRONMENT
TRANSPORTATION / PUBLIC WORKS
ECONOMIC ENVIRONMENT
CULTURE / RECREATION
INTERFUND TRANSFERS
EXPENDITURES
REVENUES OVER (UNDER)
EXPENDITURES
Beginning Reserves
Ending Reserves
Restricted Reserves -External
Restricted Reserves -Emergencies
Restricted Res. -Cap Replacement
Unrestricted Reserves
Total Reserves
CAPITAL
PROJECTS
FUND
UTILITY
FUNDS
GROUP SELF
INSURANCE
FUND
CRA FUND
ADOPTED
FY 2021
REVISED BUDGET
FY 2020
453,229
14,222,250
12,911,119
-
8,328,699
9,446,651
3,333,000
9,684,300
9,775,200
700,000
750,000
5,028,433
6,731,019
19,610,000
5,463,465
27,374,766
25,751,128
114,200
166,190
175,000
708,600
105,055
4,000
2,233,838
2,768,657
920,017
5,900f221
5,795,050
$ 875,000
$ 25,321,617
$ 5,568,520
$ 457,229
$ 72,886,707
$ 73,345,014
1,009
5,712,326
13,500,641
13,676,699
-
-
-
24,200,231
22,928,041
7,093,045
42,654,337
50,704,348
47,488,351
-
3,067,075
4,558,955
3,099,300
410,758
3,669,840
7,661,582
31231,107
3,646,239
3,067,228
5,900,221
5,795,051
$ 10,193,354
$ 45,721,565
$ 5,712,326
$ 410,758
$ 104,273,463
$ 105,754,918
$(9,318,354)
$(20,399,948)
$(143,806)
$ 46,471
$(31,386,756) $(32,409,904)
$ 15,930,165
$ 50,430,364
$ 1,320f762
$ 281,488
$ 84,849,711 $ 89,348,618
6,611,811
30,030,416
1,176,956
327,959
53,462,955 56,938,714
6,611,811
5,157,406
1,176,956
327,959
22,167,109
-
4,103,558
10,526,394
20,769,452
20,769,452
$ 6,611,811 $ 30,030,416 $ 1,176,956 $ 327,959 $ 53,462,955
NOTE; RESTRICTED RESERVES ARE ESTABLISHED PURSUANT TO CITY OF CLERMONT RESOLUTION NO. 2020-53R
11
�E
LERI"(ONT
Choice of Champions
`PAI
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
&C
CLEMO
FUND SUMMARY
GENERAL FUND
REVENUES
AD VALOREM TAXES
OTHER TAXES
LICENSES, PERMITS & FEES
INTERGOVERNMENTAL
CHARGES FOR SERVICES
FINES & FORFEITURES
MISCELLANEOUS
TRANSFERSIN
TOTAL REVENUES
EXPENDITURES
GENERAL GOVERNMENT
PUBLIC SAFETY
PHYSICAL ENVIRONMENT
TRANSPORTATION / PUBLIC WORKS
ECONOMIC ENVIRONMENT
CULTURE / RECREATION
TRANSFERS
TOTAL EXPENDITURES
REVENUES OVER (UNDER)
EXPENDITURES
Beginning Reserves
Ending Reserves
Restricted Reserves - External
Restricted Reserves - Emergencies
Restricted Reserves - Capital Replacement
Unrestricted Reserves
Total Reserves
Total Reserves % of Operating Expenditures
FY 2019
FY 2020
REVISED
ACTUAL BUDGET PROJECTED
11,450,399
5,711,494
3,480,185
5,328,251
2,013,123
230,388
1,775,041
2,103,315
$ 32,092,196
4,405,936
18,924,925
982,388
3,650,043
182,428
3,015,967
218,472
$ 31,380,159
$ 712,036
Restricted Reserves are established pursuant to City of Clermont Resolution 2020-53R.
12,528,000
5,637,098
3,629,000
4,956,019
2,112,683
166,190
1,347,231
2,043,862
12,528,000
5,689,500
3,576,340
4,403,361
2,179,770
214,200
1,064,351
2,173,862
$ 32,420,083 $ 31,829,384
4,855,682
20,125,712
988,639
3,177,715
307,770
3,159,651
218,467
4,741,555
19,884,076
954,426
3,094,304
298,532
3,108,607
218,467
$ 32,833,636 $ 32,299,967
$(413,553) $(470,583)
$ 8,897,413 $ 8,897,413
$ 8,483,860 $ 8,426,830
FY 2021
ADOPTED
13,769,021
5,662,012
3,500,300
3,578,433
2,298,801
114,200
1,091,383
2,147,211
$ 32,161,361
4,958,988
21,662,866
956,966
2,950,164
159,782
3,134,267
218,467
$ 34,041,500
$(1,880,139)
$ 8,426,830
$ 6,546,691
$ 123,855
$ 6,422,836
$ 6,546,691
18.95%
13
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
&C
CLEMO
FUND SUMMARY FY 2019
BUILDING SERVICES FUND ACTUAL
REVENUES
LICENSES, PERMITS & FEES
1,636,926
CHARGES FOR SERVICES
4,319
MISCELLANEOUS
36,863
TOTAL REVENUES
$ 1,678,108
EXPENDITURES
PUBLIC SAFETY
1,177,864
TRANSFERS
513
TOTAL EXPENDITURES
$ 1,178,377
REVENUES OVER (UNDER)
$ 499,730
EXPENDITURES
Beginning Reserves
Ending Reserves
Restricted Reserves - External
Restricted Reserves - Emergencies
Restricted Reserves - Capital Replacement
Unrestricted Reserves
Total Reserves
Total Reserves % of Operating Expenditures
Restricted Reserves are established pursuant to City of Clermont Resolution 2020-53R.
FY 2020
REVISED
BUDGET
PROJECTED
1,235,000
1,183,000
4,000
3,500
12,000
12,000
$ 1,251,000
$ 1,198,500
1,541,583
1,529,468
17,033
17,033
$ 1,558,616 $ 1,546,501
$(307,616)
$(348,001
$ 1,954,445
$ 1,954,445
$ 1,646,829
$ 1,606,444
FY 2021
ADOPTED
1,161,000
2,500
7,200
$ 1,170,700
1,707,017
$ 1,707,017
$(536,317)
$ 1,606,444
$ 1,070,127
$ 1,070,127
$ 1,070,127
62.69%
14
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
&C
CLEMO
FUND SUMMARY FY 2019
INFRASTRUCTURE FUND ACTUAL
REVENUES
OTHER TAXES
3,474,813
MISCELLANEOUS
23,303
OTHER SOURCES
919,034
TOTAL REVENUES
$ 4,417,150
EXPENDITURES
GENERAL GOVERNMENT
196,490
PUBLIC SAFETY
1,236,186
PHYSICAL ENVIRONMENT
-
TRANSPORTATION / PUBLIC WORKS
914,191
CULTURE / RECREATION
209,099
TRANSFERS
2,030,508
TOTAL EXPENDITURES
$ 4,586,474
REVENUES OVER (UNDER)
$(169,325)
EXPENDITURES
Beginning Reserves
Ending Reserves
Restricted Reserves - External
Restricted Reserves - Emergencies
Restricted Reserves - Capital Replacement
Unrestricted Reserves
Total Reserves
Total Reserves % of Operating Expenditures
Restricted Reserves are established pursuant to City of Clermont Resolution 2020-53R.
FY 2020
REVISED
BUDGET
PROJECTED
3,809,553
3,140,000
8,000
7,000
$ 3,817,553
$ 3,147,000
389,331
351,520
595,113
513,973
12,000
-
1,170,965
1,020,965
189,000
23,658
2,030,697
2,030,697
$ 4,387,106 $ 3,940,813
$(569,553) $(793,813
$ 793,813 $ 793,813
$ 224,260 $ -
FY 2021
ADOPTED
2,666,687
4,200
$ 2,670,887
20,463
755,637
1,049
1,893,738
$ 2,670,887
N/A
N/A
15
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
&C
CLEMO
FUND SUMMARY
FY 2019
FY 2020
REVISED
CEMETERY FUND
ACTUAL
BUDGET
PROJECTED
REVENUES
MISCELLANEOUS
159,864
112,000
179,000
TOTAL REVENUES
$ 159,864
$ 112,000
$ 179,000
EXPENDITURES
TRANSPORTATION / PUBLIC WORKS
117,566
111,735
110,048
TOTAL EXPENDITURES
$ 117,566
$ 111,735
$ 110,048
FY 2021
ADOPTED
119,200
$ 119,200
115,288
$ 115,288
REVENUES OVER (UNDER) $ 42,298 $ 265 $ 68,952 $ 3,912
EXPENDITURES
Beginning Reserves $ 1,290,534 $ 1,290,534 $ 1,359,486
Ending Reserves $ 1,290,799 $ 1,359,486 $ 1,363,398
Restricted Reserves - External $ 1,363,398
Restricted Reserves - Emergencies $ -
Restricted Reserves - Capital Replacement $ -
Unrestricted Reserves $ -
Total Reserves
Total Reserves % of Operating Expenditures
Restricted Reserves are established pursuant to City of Clermont Resolution 2020-53R.
$ 1,363,398
N/A
16
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
&C
CLEMO
FUND SUMMARY
FY 2019
FY 2020
FY 2021
REVISED
REC IMPACT FEE FUND
ACTUAL
BUDGET
PROJECTED
ADOPTED
REVENUES
LICENSES, PERMITS & FEES
1,157,840
900,000
1,354,000
1,000,000
MISCELLANEOUS
32,346
10,000
12,000
7,200
TOTAL REVENUES
$ 1,190,186
$ 910,000
$ 1,366,000
$ 1,007,200
EXPENDITURES
PHYSICAL ENVIRONMENT
318,668
77,832
109,543
-
TRANSPORTATION / PUBLIC WORKS
236,446
98,540
16,308
574
CULTURE / RECREATION
5,840
297,588
207,260
96,840
TRANSFERS
569,592
569,636
569,636
569,540
TOTAL EXPENDITURES
$ 1,130,546
$ 1,043,596
$ 902,747
$ 666,954
REVENUES OVER (UNDER)
$ 59,641
$(133,596)
$ 463,253
$ 340,246
EXPENDITURES
Beginning Reserves
$ 1,280,695
$ 1,280,695
$ 1,743,948
Ending Reserves
$ 1,147,099
$ 1,743,948
$ 2,084,194
Restricted Reserves- External
$ 2,084,194
Restricted Reserves - Emergencies
$ -
Restricted Reserves - Capital Replacement
$ -
Unrestricted Reserves
$ -
Total Reserves
$ 2,084,194
Total Reserves % of Operating Expenditures
N/A
Restricted Reserves are established pursuant to City of Clermont Resolution 2020-53R.
17
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
&C
CLEMO
FUND SUMMARY
FY 2019
FY 2020
REVISED
POLICE IMPACT FEE FUND
ACTUAL
BUDGET
PROJECTED
REVENUES
LICENSES, PERMITS & FEES
350,125
325,200
390,000
MISCELLANEOUS
16,782
6,000
6,000
TOTAL REVENUES
$ 366,907
$ 331,200
$ 396,000
EXPENDITURES
PUBLIC SAFETY
303,186
344,808
344,813
TRANSFERS
14,760
14,763
14,763
TOTAL EXPENDITURES
$ 317,946
$ 359,571
$ 359,576
FY 2021
ADOPTED
300,000
3,600
$ 303,600
74,329
151,248
$ 225,577
REVENUES OVER (UNDER)
$ 48,962
$(28,371) $ 36,424
$ 78,023
EXPENDITURES
Beginning Reserves
$ 647,837 $ 647,837 $ 684,261
Ending Reserves
$ 619,466 $ 684,261 $ 762,284
Restricted Reserves- External
$ 762,284
Restricted Reserves - Emergencies
$ -
Restricted Reserves - Capital Replacement
$ -
Unrestricted Reserves
$ -
Total Reserves
Total Reserves % of Operating Expenditures
Restricted Reserves are established pursuant to City of Clermont Resolution 2020-53R.
$ 762,284
N/A
18
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
&C
CLEMO
FUND SUMMARY
FY 2019
FY 2020
REVISED
FIRE IMPACT FEE FUND
ACTUAL
BUDGET
PROJECTED
REVENUES
LICENSES, PERMITS & FEES
450,801
385,000
501,000
MISCELLANEOUS
23,015
6,000
10,000
TOTAL REVENUES
$ 473,816
$ 391,000
$ 511,000
EXPENDITURES
PUBLIC SAFETY
91,238
320,825
328,829
TRANSFERS
-
-
-
TOTAL EXPENDITURES
$ 91,238
$ 320,825
$ 328,829
FY 2021
ADOPTED
390,000
6,000
$ 396,000
382
$ 382
REVENUES OVER (UNDER)
$ 382,578
$ 70,175 $ 182,171
1 $ 395,618
EXPENDITURES
Beginning Reserves
$ 1,075,617 $ 1,075,617 $ 1,257,788
Ending Reserves
$ 1,145,792 $ 1,257,788 $ 1,653,406
Restricted Reserves - External
$ 1,653,406
Restricted Reserves - Emergencies
$ -
Restricted Reserves - Capital Replacement
$ -
Unrestricted Reserves
$ -
Total Reserves
Total Reserves % of Operating Expenditures
Restricted Reserves are established pursuant to City of Clermont Resolution 2020-53R.
$ 1,653,406
N/A
19
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
&C
CLEMO
FUND SUMMARY FY 2019
FIRE INSPECTION FUND ACTUAL
FY 2020
REVISED
BUDGET PROJECTED
REVENUES
CHARGES FOR SERVICES - -
MISCELLANEOUS 64 - -
TRANSFERSIN - -
TOTAL REVENUES $ 64
EXPENDITURES
TRANSFERS - - -
TOTAL EXPENDITURES $ -
REVENUES OVER (UNDER) $ 64
EXPENDITURES
Beginning Reserves
Ending Reserves
Restricted Reserves - External
Restricted Reserves - Emergencies
Restricted Reserves - Capital Replacement
Unrestricted Reserves
Total Reserves
Total Reserves % of Operating Expenditures
Restricted Reserves are established pursuant to City of Clermont Resolution 2020-53R.
FY 2021
ADOPTED
N/A
N/A
20
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
&C
CLEMO
FUND SUMMARY FY 2019
DEBT SERVICE FUND ACTUAL
FY 2020
REVISED
BUDGET PROJECTED
REVENUES
MISCELLANEOUS
10,924
7,000
4,000
TRANSFERS IN
2,833,332
2,833,562
2,833,563
TOTAL REVENUES
$ 2,844,256
$ 2,840,562
$ 2,837,563
EXPENDITURES
GENERAL GOVERNMENT
2,808,669
2,808,768
2,808,268
FY 2021
ADOPTED
2,400
2,832,993
$ 2,835,393
2,807,855
TOTAL EXPENDITURES
$ 2,808,669
$ 2,808,768
$ 2,808,268
$ 2,807,855
REVENUES OVER (UNDER)
$ 35,587
$ 31,794
$ 29,295
$ 27,538
EXPENDITURES
Beginning Reserves
$ 1,778,880
$ 1,778,880
$ 1,808,175
Ending Reserves
$ 1,810,674
$ 1,808,175
$ 1,835,713
Restricted Reserves - External
$ 1,835,713
Restricted Reserves - Emergencies
$ -
Restricted Reserves - Capital Replacement
$ -
Unrestricted Reserves
$ -
Total Reserves
Total Reserves % of Operating Expenditures
Restricted Reserves are established pursuant to City of Clermont Resolution 2020-53R.
$ 1,835,713
N/A
21
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
&C
CLEMO
FUND SUMMARY FY 2019
CAPITAL PROJECTS FUND ACTUAL
REVENUES
INTERGOVERNMENTAL
375,000
MISCELLANEOUS
457,661
TRANSFERSIN
-
TOTAL REVENUES
$ 832,661
EXPENDITURES
GENERAL GOVERNMENT
6,434
PHYSICAL ENVIRONMENT
766,298
ECONOMIC ENVIRONMENT
3,079,925
FY 2020
REVISED
BUDGET PROJECTED
1,025,000 825,000
400,000 256,000
$ 1,425,000 $ 1,081,000
7,000 960
7,550,951 253,008
6,695,300 3,596,819
TOTAL EXPENDITURES $ 3,852,657 $ 14,253,251 $ 3,850,787
REVENUES OVER (UNDER) $(3,019,997) $(12,828,251) $(2,769,787)
EXPENDITURES
Beginning Reserves $ 18,699,952 $ 18,699,952
Ending Reserves $ 5,871,701 $ 15,930,165
Restricted Reserves - External
Restricted Reserves - Emergencies
Restricted Reserves - Capital Replacement
Unrestricted Reserves
Total Reserves
Total Reserves % of Operating Expenditures
Restricted Reserves are established pursuant to City of Clermont Resolution 2020-53R.
FY 2021
ADOPTED
700,000
175,000
$ 875,000
1,009
7,093,045
3,099,300
$ 10,193,354
$(9,318,354)
$ 15,930,165
$ 6,611,811
$ 6,611,811
$ 6,611,811
N/A
`l0:
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
&C
CLEMO
FUND SUMMARY
FY 2019
FY 2020
FY 2021
REVISED
WATER FUND
ACTUAL
BUDGET
PROJECTED
ADOPTED
OPERATING REVENUES
CHARGES FOR SERVICES
6,508,690
6,270,000
7,085,500
7,100,000
MISCELLANEOUS REVENUE
735,677
487,500
417,000
446,500
TOTAL OPERATING REVENUES
7,244,367
6,757,500
7,502,500
7,546,500
OPERATING EXPENSES
OPERATIONS
4,508,244
6,316,879
5,195,987
5,248,568
TOTAL OPERATING EXPENSES
4,508,244
6,316,879
5,195,987
5,248,568
OPERATING INCOMES/(LOSS)
2,736,123
440,621
2,306,513
2,297,932
OTHER SOURCES
INTERGOVERNMENTAL REVENUE
898
541,037
-
541,037
MISCELLANEOUS REVENUE
8,980
10,000
2,400
10,000
TRANSFERS IN
1,007,329
330,257
330,257
331,117
TOTAL OTHER SOURCES
1,017,207
881,294
332,657
882,154
OTHER USES
CAPITAL PURCHASES
263,794
326,597
323,903
696,210
CAPITAL PROJECTS
403,980
2,966,839
2,666,726
2,671,400
DEBT SERVICE
133,567
394,220
394,220
395,249
TRANSFERS OUT
963,675
961,829
1,065,399
1,060,911
TOTAL OTHER USES
1,765,017
4,649,485
4,450,248
4,823,770
INCREASE(DECREASE)TO
$ 1,988,313
$(3,327,570)
$(1,811,078)
$(1,643,684)
RESERVES
Beginning Reserves
$ 13,857,678
$ 13,857,678
$ 12,046,600
Ending Reserves
$ 10,530,108
$ 12,046,600
$ 10,402,916
Restricted Reserves - External
$ -
Restricted Reserves - Emergencies
$ 1,676,182
Restricted Reserves - Capital Replacement
$ 8,726,734
Unrestricted Reserves
$ -
Total Reserves
$ 10,402,916
Total Reserves % of Operating Expenses
155.16%
Restricted Reserves are established pursuant to City of Clermont
Resolution 2020-53R.
23
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
&C
CLEMO
FUND SUMMARY
FY 2019
FY 2020
FY 2021
REVISED
WATER IMPACT FEE FUND
ACTUAL
BUDGET
PROJECTED
ADOPTED
REVENUES
LICENSES, PERMITS & FEES
1,152,077
911,000
1,468,000
1,111,000
MISCELLANEOUS
91,331
30,000
50,000
30,000
TOTAL REVENUES
$ 1,243,407
$ 941,000
$ 1,518,000
$ 1,141,000
EXPENDITURES
PHYSICAL ENVIRONMENT
1,710
3,202,000
11,721
2,951,808
TRANSFERS
998,993
330,257
330,257
331,117
TOTAL EXPENDITURES
$ 1,000,703
$ 3,532,257
$ 341,978
$ 3,282,925
REVENUES OVER (UNDER)
$ 242,705
$(2,591,257)
$ 1,176,022
$(2,141,925)
EXPENDITURES
Beginning Reserves
$ 4,219,940
$ 4,219,940
$ 5,395,962
Ending Reserves
$ 1,628,683
$ 5,395,962
$ 3,254,037
Restricted Reserves - External
$ 3,254,037
Restricted Reserves - Emergencies
$ -
Restricted Reserves - Capital Replacement
$ -
Unrestricted Reserves
$ -
Total Reserves
$ 3,254,037
Total Reserves % of Operating Expenditures
N/A
Restricted Reserves are established pursuant to City of Clermont Resolution 2020-53R.
24
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
&C
CLEMO
FUND SUMMARY
FY 2019
FY 2020
FY 2021
REVISED
SEWERFUND
ACTUAL
BUDGET
PROJECTED
ADOPTED
OPERATING REVENUES
CHARGES FOR SERVICES
6,982,387
7,100,000
7,171,000
7,242,000
MISCELLANEOUS REVENUE
272,956
100,000
100,000
60,000
TOTAL OPERATING REVENUES
7,255,344
7,200,000
7,271,000
7,302,000
OPERATING EXPENSES
OPERATIONS
4,252,862
4,567,108
4,434,563
4,971,727
TOTAL OPERATING EXPENSES
4,252,862
4,567,108
4,434,563
4,971,727
OPERATING INCOMES/(LOSS)
3,002,482
2,632,892
2,836,437
2,330,273
OTHER SOURCES
INTERGOVERNMENTAL REVENUE
892
-
-
-
MISCELLANEOUS REVENUE
7,444
1,000
1,000
1,000
TRANSFERS IN
588,285
587,369
587,369
588,900
TOTAL OTHER SOURCES
596,621
588,369
588,369
589,900
OTHER USES
CAPITAL PURCHASES
167,980
597,922
248,708
-
CAPITAL PROJECTS
1,162,961
2,726,888
1,297,498
725,000
DEBT SERVICE
238,285
700,837
700,837
702,665
TRANSFERS OUT
1,068,164
1,065,000
1,075,636
1,086,300
TOTAL OTHER USES
2,637,389
5,090,647
3,322,679
2,513,965
INCREASE(DECREASE)TO
$ 961,714
$(1,869,386)
$ 102,127
$ 406,208
RESERVES
Beginning Reserves
$ 10,651,101
$ 10,651,101
$ 10,753,228
Ending Reserves
$ 8,781,715
$ 10,753,228
$ 11,159,436
Restricted Reserves - External
$ -
Restricted Reserves - Emergencies
$ 1,690,173
Restricted Reserves - Capital Replacement
$ 9,469,263
Unrestricted Reserves
$ -
Total Reserves
$ 11,159,436
Total Reserves % of Operating Expenses
165.06%
Restricted Reserves are established pursuant to City of Clermont Resolution 2020-53R.
25
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
&C
CLEMO
FUND SUMMARY
FY 2019
FY 2020
FY 2021
REVISED
SEWER IMPACT FEE FUND
ACTUAL
BUDGET
PROJECTED
ADOPTED
REVENUES
LICENSES, PERMITS & FEES
3,139,024
2,390,000
3,681,000
2,222,000
MISCELLANEOUS
414,243
125,000
260,000
125,000
TOTAL REVENUES
$ 3,553,267
$ 2,515,000
$ 3,941,000
$ 2,347,000
EXPENDITURES
PHYSICAL ENVIRONMENT
7,132
8,538,983
2,643,315
16,707,587
TRANSFERS
587,700
587,369
587,369
588,900
TOTAL EXPENDITURES
$ 594,832
$ 9,126,352
$ 3,230,684
$ 17,296,487
REVENUES OVER (UNDER)
$ 2,958,435
$(6,611,352)
$ 710,316
$(14,949,487)
EXPENDITURES
Beginning Reserves
$ 16,142,540
$ 16,142,540
$ 16,852,856
Ending Reserves
$ 9,531,188
$ 16,852,856
$ 1,903,369
Restricted Reserves - External
$ 1,903,369
Restricted Reserves - Emergencies
$ -
Restricted Reserves - Capital Replacement
$ -
Unrestricted Reserves
$ -
Total Reserves
$ 1,903,369
Total Reserves % of Operating Expenditures
N/A
Restricted Reserves are established pursuant to City of Clermont Resolution 2020-53R.
26
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
&C
CLEMO
FUND SUMMARY
FY 2019
FY 2020
FY 2021
REVISED
STORMWATER FUND
ACTUAL
BUDGET
PROJECTED
ADOPTED
OPERATING REVENUES
CHARGES FOR SERVICES
1,596,720
1,800,000
1,703,000
1,800,000
MISCELLANEOUS REVENUE
9,479
12,000
3,500
2,100
TOTAL OPERATING REVENUES
1,606,198
1,812,000
1,706,500
1,802,100
OPERATING EXPENSES
OPERATIONS
786,707
1,220,284
1,085,883
1,212,363
TOTAL OPERATING EXPENSES
786,707
1,220,284
1,085,883
1,212,363
OPERATING INCOMES/(LOSS)
819,491
591,716
620,617
589,737
OTHER SOURCES
INTERGOVERNMENTAL REVENUE
403,343
208,963
-
208,963
MISCELLANEOUS REVENUE
1,180
2,000
-
2,000
TRANSFERS IN
7,617
-
-
-
TOTAL OTHER SOURCES
412,140
210,963
-
210,963
OTHER USES
CAPITAL PURCHASES
44,776
45,860
41,778
250,000
CAPITAL PROJECTS
129,997
707,969
188,325
427,000
DEBT SERVICE
121,408
390,999
390,999
390,947
TRANSFERS OUT
71,476
-
-
-
TOTAL OTHER USES
367,656
1,144,828
621,102
1,067,947
INCREASE(DECREASE)TO
$ 863,974
$(342,149)
$(485)
$(267,247)
RESERVES
Beginning Reserves
$ 418,529
$ 418,529
$ 418,044
Ending Reserves
$ 76,380
$ 418,044
$ 150,797
Restricted Reserves - External
$ -
Restricted Reserves - Emergencies
$ -
Restricted Reserves - Capital Replacement
$ 150,797
Unrestricted Reserves
$ -
Total Reserves
$ 150,797
Total Reserves % of Operating Expenses
9.41%
27
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
&C
CLEMO
FUND SUMMARY
FY 2019
FY 2020
FY 2021
REVISED
SANITATION FUND
ACTUAL
BUDGET
PROJECTED
ADOPTED
OPERATING REVENUES
CHARGES FOR SERVICES
3,263,253
3,400,000
3,441,000
3,468,000
MISCELLANEOUS REVENUE
271,335
53,000
46,100
30,000
TOTAL OPERATING REVENUES
3,534,588
3,453,000
3,487,100
3,498,000
OPERATING EXPENSES
OPERATIONS
2,558,741
2,665,043
2,677,759
2,828,354
TOTAL OPERATING EXPENSES
2,558,741
2,665,043
2,677,759
2,828,354
OPERATING INCOMES/(LOSS)
975,847
787,957
809,341
669,646
OTHER SOURCES
INTERGOVERNMENTAL REVENUE
42,213
-
-
-
MISCELLANEOUS REVENUE
713
2,000
-
2,000
TOTAL OTHER SOURCES
42,927
2,000
-
2,000
OTHER USES
CAPITAL PURCHASES
697,709
966,556
941,256
-
CAPITAL PROJECTS
184,264
2,403,469
33,000
2,355,000
DEBT SERVICE
37,408
120,476
120,476
120,459
TRANSFERS OUT
3,575
-
-
-
TOTAL OTHER USES
922,957
3,490,501
1,094,732
2,475,459
INCREASE(DECREASE)TO
$ 95,817
$(2,700,544)
$(285,391)
$(1,803,813)
RESERVES
Beginning Reserves
$ 5,249,065
$ 5,249,065
$ 4,963,674
Ending Reserves
$ 2,548,521
$ 4,963,674
$ 3,159,861
Restricted Reserves - External
$ -
Restricted Reserves - Emergencies
$ 737,203
Restricted Reserves - Capital Replacement
$ 2,422,658
Unrestricted Reserves
$ -
Total Reserves
$ 3,159,861
Total Reserves % of Operating Expenses
107.16%
Restricted Reserves are established pursuant to City of Clermont Resolution 2020-53R.
28
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
&C
CLEMO
FUND SUMMARY FY 2019
GROUP SELF-INSURANCE FUND ACTUAL
FY 2020
REVISED
BUDGET PROJECTED
REVENUES
CHARGES FOR SERVICES
-
5,064,445
4,966,786
MISCELLANEOUS
5,245,288
33,426
95,505
TRANSFERSIN
-
-
-
TOTAL REVENUES
$ 5,245,288
$ 5,097,871
$ 5,062,291
EXPENDITURES
GENERAL GOVERNMENT
4,549,821
5,615,918
5,615,918
TOTAL EXPENDITURES
$ 4,549,821
$ 5,615,918
$ 5,615,918
REVENUES OVER (UNDER) $ 695,466
EXPENDITURES
Beginning Reserves
Ending Reserves
Restricted Reserves - External
Restricted Reserves - Emergencies
Restricted Reserves - Capital Replacement
Unrestricted Reserves
Total Reserves
Total Reserves % of Operating Expenditures
Restricted Reserves are established pursuant to City of Clermont Resolution 2020-53R.
$(518,047) $(553,627
$ 1,874,389 $ 1,874,389
$ 1,356,342 $ 1,320,762
FY 2021
ADOPTED
5,463,465
105,055
$ 5,568,520
5,712,326
$ 5,712,326
$(143,806)
$ 1,320,762
$ 1,176,956
$ 1,176,956
$ 1,176,956
20.60%
29
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
&C
CLEMO
FUND SUMMARY FY 2019
COMMUN REDEVELOP AGENCY FUND ACTUAL
REVENUES
AD VALOREM TAXES
296,596
INTERGOVERNMENTAL
MISCELLANEOUS
12,552
TOTAL REVENUES
$ 309,148
EXPENDITURES
ECONOMIC ENVIRONMENT
184,614
TRANSFERS
-
TOTAL EXPENDITURES
$ 184,614
REVENUES OVER (UNDER)
$ 124,534
EXPENDITURES
Beginning Reserves
Ending Reserves
Restricted Reserves - External
Restricted Reserves - Emergencies
Restricted Reserves - Capital Replacement
Unrestricted Reserves
Total Reserves
Total Reserves % of Operating Expenditures
Restricted Reserves are established pursuant to City of Clermont Resolution 2020-53R.
FY 2020
REVISED
BUDGET
PROJECTED
383,119
383,119
4,500
8,000
$ 387,619
$ 391,119
658,512
625,821
$ 658,512
$ 625,821
$(270,893)
$(234,702
$ 516,190
$ 516,190
$ 245,297
$ 281,488
FY 2021
ADOPTED
453,229
4,000
$ 457,229
410,758
$ 410,758
$ 46,471
$ 281,488
$ 327,959
$ 327,959
$ 327,959
N/A
30
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
REVENUES
FY 2019
GENERALFUND
ACTUAL
AD VALOREM TAXES
10311-31101 - AD VALOREM TAXES 11,430,381
10311-31102 - AD VALOREM TAX -DELINQUENT 5,206
10311-31103 - AD VALOREM TAX -INTEREST 14,811
AD VALOREM TAXES TOTAL 11,450,399
OTHER TAXES
10312-31240 - LOCAL OPTION FUEL TAX
550,909
10314-31410 - UT SERVICE TAX -ELECTRIC
3,305,826
10314-31430 - UT SERVICE TAX -WATER
304,620
10314-31440 - UT SERVICE TAX -GAS
261,653
10315-31500 - COMMUNICATIONS SERVICES TAXES
1,131,382
10316-31600 - CITY BUSINESS TAX
157,103
OTHER TAXES TOTAL
5,711,494
LICENSES, PERMITS & FEES
10323-32310 - FRANCH FEES -ELECTRICITY
2,774,187
10323-32340 - FRANCH FEES -GAS
146,712
10323-32370 - FRANCH FEES -SOLID WASTE COMM
221,115
10329-32900 - OTHER PLANNING & ZONING FEES
67,701
10329-32903 - ZONING CLEARANCES
172,559
10329-32905 - COM/RES SITE INSPECT. FEES PW
38,923
10329-32906 - SITE REVIEW & PLAT FEES
58,568
10329-32908 - WATERFRONT LICENSES
420
LICENSES, PERMITS & FEES TOTAL
3,480,185
INTERGOVERNMENTAL
10331-33120 - FEDERAL GRANTS
22,742
10331-33120-21013 - FEDERAL GRANTS - BULLET PRO
9,035
10331-33120-21026 - FED GRANTS -MOBILE CRISIS-21
57,948
10331-33120-21028 - FED GRANT-UAS ACQUIS 21028
7,804
10331-33120-21029 - FED GRT- POLYGRAPH 21029
5,227
10331-33120-22013 - FED GRANTS -PUB SAF SAFER 22
428,618
10331-33129-72126 - FED GRT-FPT FLDEP AGR/CS 721
250,000
10331-33150-99000 - FEDERAL GRANTS - FEMA - IRMA
84,410
10334-33420 - STATE GRANTS P&F PENSION
574,795
10334-33450-99000 - STATE GRANT - FEMA - IRMA
6,218
10334-33470-79001 - ST GRT-CLT/REC CPAC PERF 790
-
FY 2020
REVISED
BUDGET PROJECTED
12,505,000 12,505,000
7,000 7,000
12,528,000 12,528,000
566,946
464,000
3,200,000
3,375,000
305,000
310,000
270,000
255,000
1,134,952
1,150,000
5,637,098 5,689,500
2,900,000
170,000
200,000
75,000
200,000
42,000
42,000
3,629,000
2,200
58,435
292,515
600,000
6,451
2,900,000
155,000
210,000
42,000
180,000
37,500
51,000
3,576,340
10,858
2,200
46,675
285,450
600,000
6,451
ONT
CI. ChdcR
FY 2021
ADOPTED
13,746,021
7,000
16,000
13,769,021
396,862
3,400,000
325,000
270,000
1,150,000
120,150
5,662,012
2,910,000
160,000
180,000
38,000
150,000
20,000
42,300
3,500,300
2,200
11,760
50,689
600,000
31
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
REVENUES
GENERALFUND
INTERGOVERNMENTAL
10335-33512 - MUNI REV SHAR-SALES/USE TAX
10335-33513 - MUNI REV SHAR-MOTOR FUEL
10335-33514 - STATE MOBILE HOME LICENSE
10335-33515 - STATE ALCOHOLIC BEV LICSE
10335-33518 - STATE HALF CENT SALES TAX
10335-33519 - STATE MOTOR FUEL REBATE
10335-33521 - STATE-FF SUPPLEMENTAL COMP
10337-33741 - COUNTY GRANT - TDC
10338-33800 - COUNTY BUSINESS TAX DISCONTINU
10338-33801 - COUNTY ONE CENT GAS TAX
10338-33802 - COUNTY EMS TAX
INTERGOVERNMENTALTOTAL
CHARGES FOR SERVICES
10342-34220 - FIRE INSPECTIONS FEES NONBLDG
10342-34250 FIRE PERMIT REVIEW FEES
10342-34290 ISBA AGREEMENT
10342-34292 - FIRE STAFFING SERVICES
10342-34293 - SRO AGREEMENT
10347-34720 - RECREATION ACTIVITY FEES
10347-34721 - BOAT RAMP PARKING LOT FEES
10347-34723 - LESSON INSTRUCTION FEES
10347-34725 - RECREATION APPLICATION FEE
10347-34727-72120 CPAC-TKTS-GUARANTEE 100% 7
10347-34728-72120 CPAC-TKTS-4WALL,SPLIT,BNS72
10347-34729 - ARC-NON-CPAC TICKET SALES
10347-34732-74000 - PARADE - LIGHT UP CLERMONT
10347-34733 - LESSON INSTRCT FEES - RECREAT
10347-34743 - EVENT LESSON FEE
10349-34900 - ADMIN ASSESS -WATER
10349-34901 - ADMIN ASSESS -SEWER
10349-34902 - ADMIN ASSESS -SANITATION
10349-34903 - ADMIN ASSESS-STORMWATER
10349-34904 - ADMIN ASSESS -IMPACT FEES
10349-34906 - ADMIN ASSESS -BUILDING SVCS
10349-34911 - CLERK LIEN SEARCH REVENUES
ACTUAL
859,992
256,242
18,477
32,988
2,235,693
37,070
24,460
3,654
35,252
92,046
285,581
D'.5za'LD1
38,879
160,865
75,450
675
188,553
22,260
69,506
6,690
95,373
81,775
910
3,150
16,728
560
395,698
386,025
238,356
91,575
30,008
97,038
FY 2020
REVISED
BUDGET
858,577
199,883
18,000
28,000
2,417,987
34,971
24,000
5,000
34,000
91,000
285,000
4,956,019
20,000
85,000
95,000
302,740
18,001
47,500
5,500
185,256
45,000
2,700
444,964
377,465
207,736
123,695
21,111
116,015
PROJECTED
751,000
220,000
18,000
25,200
1,994,000
34,971
21,000
5,000
6,956
75,600
300,000
4,403,361
43,000
143,000
50,000
279,515
9,255
32,000
29,000
2,400
104,795
57,776
1,850
1,100
484,958
412,035
212,436
135,771
33,000
123,379
10,000
ONT
CI. ChdcR
FY 2021
ADOPTED
601,004
139,918
16,200
25,200
1,692,591
36,171
24,000
63,700
315,000
3,578,433
25,000
88,000
50,000
335,612
12,000
25,000
30,000
4,500
100,000
40,000
1,500
1,200
466,671
453,853
233,241
148,757
25,500
153,467
90,000
32
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
REVENUES
GENERALFUND
CHARGES FOR SERVICES
10349-34916-16001 IT REV -PUB WIFI PREM SUB 160
10349-34916-16002 IT REV-DATACENTER LEASING16
CHARGES FOR SERVICES TOTAL
FINES & FORFEITURES
10351-35101 - FINES & FORFEITURES
10351-35101-90030 - FINES/FORFEITURES-RED LIGHT
10351-35102-21900 - FED FORFEIT/SEIZURE-JUSTICE
10351-35105 - LAW ENFORCEMENT EDUCATION
10351-35110-21902 - CONFISCATIONS
10354-35401 - FALSE ALARMS
10354-35402 - CODE VIOLATIONS
FINES & FORFEITURES TOTAL
MISCELLANEOUS
10361-36100 - INTEREST EARNINGS
10361-36100-21900 INTEREST EARNINGS -JUSTICE FD
10361-36100-21901 INTEREST EARNINGS -TREASURY
10361-36130 - NET INCR/DECR IN FV OF INVEST
10362-36204- RENT -CITY CENTER
10362-36205 - RENT -CHAMBER OF COMMERCE
10362-36206 - RENT -TELECOMMUNICATIONS SITE
10362-36208- RENT -CITY HALL
10362-36211 - RENT - ARTS & RECREATION CNTR
10362-36211-72120 - CPAC-THEATER RENTAL FEE 721
10362-36211-72900 - RENT - ARTS & REC POOL 72900
10362-36211-72901 - RENT - ARTS & REC GYM 72901
10362-36212 - EQUIPMENT RENTALS
10362-36213 - ARC-NON-CPAC FACILITY FEES
10362-36213-72120 - FAC FEE-CPAC $2/TKT SOLD 721
10362-36215 - RENT -WATERFRONT BUSINESS RENT
10362-36220 - RENT -VENDOR BOOTH
10362-36220-72200 - RENT -VENDOR BOOTH -SENIOR P
10362-36221-74006 - CAMP OUT ADMISSION
10362-36222-72109 - ADMISSIONS- SPLASH PAD - 721
10362-36222-72200 FACILITY ADMISSIONS - SENIOR
10362-36222-72900 ADMISSIONS - POOL - 72900
FY 2019
REVISED
ACTUAL I BUDGET
FY 2020
- 500
13,050 14,500
2,013,123 2,112,683
80,762
3,450
18,040
8,459
28,145
230,388
276,123
1,782
955
138,357
58,898
12,597
156,585
1,500
121,060
10,220
4,650
26,917
12,038
54
14,280
1,500
13,912
1,925
2,405
31,712
2,799
10,025
90,000
65,190
9,000
2,000
PROJECTED
14,500
2,179,770
72,000
7,200
135,000
166,190 214,200
175,000
68,000
12,245
150,000
120,000
4,250
22,000
23,000
11,000
16,000
1,400
10,000
2,300
35,000
1,630
12,000
160,000
10,000
12,245
150,000
42,000
5,291
2,200
9,982
4,900
11,084
400
7,190
2,303
11,500
1,467
2,500
ONT
CI. ChdcR
FY 2021
ADOPTED
14,500
2,298,801
72,000
7,200
35,000
114,200
95,000
40,000
12,245
156,000
60,000
4,250
6,000
15,000
3,000
8,000
8,000
2,700
35,000
500
12,000
33
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
REVENUES
FY 2020
GENERAL FUND I REVISED
ACTUAL BUDGET PROJECTED
MISCELLANEOUS
10362-36222-72901 - ADMISSIONS - GYM - 72901
15,665
17,700
6,067
10362-36299- RENT -OTHER
409
-
-
10362-36299-38110- RENT -VICTORY POINTE 38110
1,351
-
774
10362-36299-72109 RENT -SPLASH PARK 72109
6,300
9,000
1,220
10362-36299-72117 RENT -ROWING FACILITY
7,300
6,000
4,900
10362-36299-72121 RENT-KEHLOR
-
-
675
10362-36299-72902 RENT-BALLFIELDS
58,012
45,000
28,500
10362-36299-72903 RENT -HIGHLANDER
15,906
12,000
6,000
10362-36299-72904 RENT -WATERFRONT
23,549
13,000
7,000
10362-36299-72909 - RENT -TENNIS PROGRAM 72909
250
3,000
2,000
10364-36400 - SALE OF FIXED ASSETS
198,447
15,000
16,826
10365-36500 - SURPLUS PROPERTY SALES
4,742
5,000
8,857
10366-36600 - DONATIONS & GRANTS FR PRIVATE
10,000
-
-
10366-36602-72906 - CONTRIBUTIONS-HANCOCK PAR
-
-
5,000
10366-36607 - PRIVATE CONTRIBUTIONS -EVENTS
28,500
26,000
25,100
10366-36607-72200 PRIVATE CONTRIBUTIONS -SR PR
9,000
4,500
6,500
10366-36649-21903 CONTRIBUTIONS -POLICE DONAT
14,004
-
-
10366-36649-22900 CONTRIBUTIONS -FIRE DONATIO
8,004
-
-
10366-36650 - REIMBURSEMENTS
164,513
226,333
193,790
10366-36650-72120 - REIMBURSEMENTS - CPAC
2,258
2,500
560
10366-36651 - REIMB TAKE HOME VEHICLE
9,684
5,000
13,481
10369-36980 - NON CPAC TICKET PROCEEDS
390
-
40
10369-36984-72120 - MERCHANDISE PROCEEDS - CPA
270
140
227
10369-36991 - PAYMENTS IN LIEU OF TAXES
197,983
197,983
209,861
10369-36995 - P-CARD REBATE
61,239
65,000
62,361
10369-36999 - MISCELLANEOUS
36,972
30,250
30,250
10369-36999-12002 - MISC CLERM HIST BKSALES 120
-
-
1,300
MISCELLANEOUS TOTAL
1,775,041
1,347,231
1,064,351
TRANSFERS IN
10381-38103 - TRANS FR BUILDING SERVICE FUND
-
17,033
17,033
10381-38108 - TFR FR WATER FUND WATER SALES
963,675
915,000
1,000,000
10381-38108-33116 - TFR FR WTR CNFND/TRENCH 331
-
46,829
46,829
10381-38110 - TFR FR SEWER FUND SEWER SALES
1,068,164
1,065,000
1,110,000
10381-38112 - TRANSFER FR STORM FUND
71,476
-
-
TRANSFERS IN TOTAL
2,103,315
2,043,862
2,173,862
ONT
CI. ChdcR
FY 2021
ADOPTED
11,000
1,000
6,500
6,000
45,000
12,000
15,000
3,000
15,000
5,000
5,000
26,000
3,000
163,092
2,500
14,116
200
205,030
65,000
30,250
1,091,383
1,035,000
25,911
1,086,300
2,147, 211
34
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
REVENUES
FY 2019
GENERALFUND
ACTUAL
GENERAL FUND TOTAL 32,092,196
FY 2020
REVISED
BUDGET PROJECTED
32,420,083 31,829,384
ONT
CI. ChdcR
FY 2021
ADOPTED
32,161,361
35
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
REVENUES
FY 201
BUILDING SERVICES FUND
ACTUE
LICENSES, PERMITS & FEES
11322-32200 - BUILDING PERMITS
1,588,357
11329-32905 - INSPECTION FEES
-
11329-32907 - INSPECTION FEES - CONTRACTOR
48,569
LICENSES, PERMITS & FEES TOTAL
1,636,926
CHARGES FOR SERVICES
11349-34905 - ADMIN ASSESS-BICA/RADON
4,319
CHARGES FOR SERVICES TOTAL
4,319
MISCELLANEOUS
11361-36100 - INTEREST EARNINGS
25,794
11361-36130 - NET INCR/DECR IN FV OF INVEST
10,840
11365-36500 - SURPLUS PROPERTY SALES
68
11366-36650 - REIMBURSEMENTS
161
MISCELLANEOUS TOTAL
36,863
BUILDING SERVICES FUND TOTAL
1,678,108
FY 2020
REVISED
BUDGET
PROJECTED
1,175,000
1,140,000
1,235,000 1,183,000
4,000 3,500
12,000 12,000
12,000 12,000
1,251,000 1,198, 500
FY 2021
ADOPTED
1,120,000
41,000
1,161,000
2,500
2,500
7,200
7,200
1,170, 700
36
REVENUES
INFRASTRUCTURE FUND
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
FY 2019 FY 2020
ACTUAL
OTHER TAXES
12312-31260 - STATE INFRASTRUCTURE TAX
3,474,813
OTHER TAXES TOTAL
3,474,813
MISCELLANEOUS
12361-36100 - INTEREST EARNINGS
14,142
12361-36130 - NET INCR/DECR IN FV OF INVEST
9,161
MISCELLANEOUS TOTAL
23,303
OTHER SOURCES
12383-38305 - EQUIPMENT CAPITAL LEASE PROCEE
919,034
OTHER SOURCES TOTAL
919,034
INFRASTRUCTURE FUND TOTAL
4,417,150
REVISED
BUDGET PROJECTED
8,000 7,000
3,817,553 3,147,000
FY 2021
ADOPTED
2,666,687
2,666,687
4,200
4,200
2,670,887
37
REVENUES
CEMETERY FUND
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
FY 201
MISCELLANEOUS
13361-36100 - INTEREST EARNINGS 22,765
13361-36130 - NET INCR/DECR IN FV OF INVEST 12,265
13364-36400 - CEMETERY LOT SALES 121,445
13366-36650 - REIMBURSEMENTS 3,389
MISCELLANEOUS TOTAL 159,864
CEMETERY FUND TOTAL 159,864
FY 2020
REVISED
BUDGET PROJECTED
12,000 12,000
112,000 179,000
112,000 179,000
Y 2021
ADOPTED
7,200
110,000
2,000
119,200
119,200
38
REVENUES
REC IMPACT FEE FUND
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
FY 201
LICENSES, PERMITS & FEES
14324-32461 - RES IMPACT FEES/DU-RECREATION 1,157,840
LICENSES, PERMITS & FEES TOTAL 1,157,840
MISCELLANEOUS
14361-36100 - INTEREST EARNINGS 20,960
14361-36130 - NET INCR/DECR IN FV OF INVEST 11,387
MISCELLANEOUS TOTAL 32,346
REC IMPACT FEE FUND TOTAL 1,190,186
FY 2020
REVISED
BUDGET PROJECTED
10,000 12,000
910,000 1,366,000
FY 2021
ADOPTED
1,000,000
1,000,000
7,200
7,200
1,007,200
39
REVENUES
POLICE IMPACT FEE FUND
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
FY 2019
ALIUAL
LICENSES, PERMITS & FEES
15324-32411 - RES IMPACT FEES/DU-POLICE 167,229
15324-32412 - COMM IMPACT FEES/SF-POLICE 182,896
LICENSES, PERMITS & FEES TOTAL 350,125
MISCELLANEOUS
15361-36100 - INTEREST EARNINGS 10,274
15361-36130 - NET INCR/DECR IN FV OF INVEST 6,509
MISCELLANEOUS TOTAL 16,782
POLICE IMPACT FEE FUND TOTAL 366,907
FY 2020
REVISED
BUDGET PROJECTED
150,000
240,000
175,200
150,000
325,200
390,000
6,000
6,000
6,000 6,000
ONT
CI. ChdcR
FY 2021
ADOPTED
200,000
100,000
300,000
3,600
3,600
303,600
40
REVENUES
FIRE IMPACT FEE FUND
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
FY 2019
LICENSES, PERMITS & FEES
16324-32411 - RES IMPACT FEES/DU-FIRE 197,872
16324-32412 - COMM IMPACT FEES/SF-FIRE 252,929
LICENSES, PERMITS & FEES TOTAL 450,801
MISCELLANEOUS
16361-36100 - INTEREST EARNINGS 15,450
16361-36130 - NET INCR/DECR IN FV OF INVEST 7,565
MISCELLANEOUS TOTAL 23,015
FIRE IMPACT FEE FUND TOTAL 473,816
FY 2020
REVISED
BUDGET
PROJECTED
160,000
294,000
225,000
207,000
385,000
501,000
6,000
10,000
6,000 10,000
ONT
CI. ChdcR
FY 2021
ADOPTED
235,000
155,000
390,000
6,000
6,000
396,000
41
REVENUES
FIRE INSPECTION FUND
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
FY 2019 FY 2020
ACTUAL
MISCELLANEOUS
19361-36100 - INTEREST EARNINGS 4
19366-36650 - REIMBURSEMENTS 59
MISCELLANEOUS TOTAL 64
FIRE INSPECTION FUND TOTAL 64
REVISED
BUDGET PROJECTED
Y 2021
ADOPTED
42
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
REVENUES
FY 2019
DEBT SERVICE FUND
ACTUAL
MISCELLANEOUS
22361-36100 - INTEREST EARNINGS
10,328
22361-36130 - NET INCR/DECR IN FV OF INVEST
595
MISCELLANEOUS TOTAL
10,924
TRANSFERSIN
22381-38100-72118 - TFR FR GENERAL FUND ARC
218,472
22381-38104-20000 TFR FR INFRA -MASTER PLAN 200
1,608,228
22381-38104-21101 TFR FR INFRASTRUC POL HQ 211
422,280
22381-38105-20000 TFR FR REC IMP MASTERPLN 200
321,936
22381-38105-72118 - TFR FR REC IMPACT ARC 72118
247,656
22381-38118-21101 TFR FR POL IMP FUND PDHQ 211
-
22381-38118-72118 TFR FR POLICE IMP ARC 72118
14,760
TRANSFERS IN TOTAL
2,833,332
DEBT SERVICE FUND TOTAL
2,844,256
FY 2020
REVISED
BUDGET PROJECTED
7,000 4,000
218,467
218,467
1,608,421
1,608,421
422,276
422,277
321,978
321,978
247,657
247,657
2,833,562 2,833,563
ONT
CI. ChdcR
FY 2021
ADOPTED
2,400
2,400
218,467
1,607,946
285,792
321,883
247,657
136,485
14,763
2,832,993
2,835,393
43
REVENUES
CAPITAL PROJECTS FUND
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
FY 2019 FY 2020
ACTUAL
INTERGOVERNMENTAL
32331-33140-38110 - FEDGRNT TRANS REC TRLPGM 38
32331-33140-95109 - FEDGRT-FPT FDEP LEGA LOOP95
32334-33470-95113 FL CULT FAC MEET MIDDL PL951 -
32337-33733-95111 COUNTY GRANT-TDC BTRAMP951 375,000
32337-33735-95111 LCWA GRANT BOAT RAMP 95111 -
INTERGOVERNMENTAL TOTAL 375,000
MISCELLANEOUS
32361-36100 - INTEREST EARNINGS 392,075
32361-36130 - NET INCR/DECR IN FV OF INVEST 65,586
MISCELLANEOUS TOTAL 457,661
CAPITAL PROJECTS FUND TOTAL 832,661
REVISED
BUDGET PROJECTED
200,000 -
200,000 200,000
400,000 256,000
1,425,000 1,081,000
FY 2021
ADOPTED
200,000
500,000
700,000
175,000
175,000
875,000
44
REVENUES
WATER FUND
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
FY 2019 FY 2020
ACTUAL
INTERGOVERNMENTAL
41331-33131-38123 - FED GRANT-WTR SUP CDBG 381
-
41331-33150-99000 - FEDERAL GRANTS - FEMA - IRMA
841
41334-33450-99000 - STATE GRANT - FEMA - IRMA
57
INTERGOVERNMENTAL TOTAL
898
CHARGES FOR SERVICES
41343-34330 - WATER SALES
4,339,202
41343-34332 - REUSE IRRIGATION
1,951,003
41343-34390 - METER SALES
218,485
CHARGES FOR SERVICES TOTAL
6,508,690
MISCELLANEOUS
41361-36100 - INTEREST EARNINGS
246,340
41361-36130 - NET INCR/DECR IN FV OF INVEST
135,140
41364-36400 - SALE OF FIXED ASSETS
3,895
41365-36500 - SURPLUS PROPERTY SALES
-
41366-36650 - REIMBURSEMENTS
8,980
41369-36998 - MISCELLANEOUS
350,302
MISCELLANEOUS TOTAL
744,657
TRANSFERS IN
41381-38103 - TRANS FR BUILDING SERVICE FUND
513
41381-38110 - TRANS FR SEWER FUND
7,823
41381-38120 - TRANSFER FROM W/S IMPACT FUND
998,993
TRANSFERS IN TOTAL
1,007,329
WATER FUND TOTAL
8,261,574
REVISED
BUDGET PROJECTED
541,037
4,250,000 4,642,000
1 orn !1!1!1 I - -
125,000
140,000
2,500
-
10,000
7,000
10,000
2,400
350,000
270,000
497,500
419,400
330,257 330,257
7,638,794 7,835,157
ONT
CI. ChdcR
FY 2021
ADOPTED
541,037
331,117
8,428,654
45
REVENUES
WATER IMPACT FEE FUND
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
FY 2019
LICENSES, PERMITS & FEES
43324-32421 - RES IMPACT FEES/METER-WATER 976,736
43324-32422 - COMM IMPACT FEES/METER-WATER 175,341
LICENSES, PERMITS & FEES TOTAL 1,152,077
MISCELLANEOUS
43361-36104 - INTEREST -IMPACT FEES-OTH 55,525
43361-36130 - NET INCR/DECR IN FV OF INVEST 35,806
MISCELLANEOUS TOTAL 91,331
WATER IMPACT FEE FUND TOTAL 1,243,407
FY 2020
REVISED
BUDGET
PROJECTED
825,000
1,350,000
86,000
118,000
911,000
1,468,000
30,000
50,000
30,000 50,000
ONT
CI. ChdcR
FY 2021
ADOPTED
1,000,000
111,000
1,111,000
30,000
30,000
1,141,000
46
REVENUES
SEWERFUND
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
FY 2019 FY 2020
ACTUAL
INTERGOVERNMENTAL
42331-33150-99000 FEDERAL GRANTS - FEMA - IRMA
881
42334-33450-99000 STATE GRANT - FEMA - IRMA
11
INTERGOVERNMENTAL TOTAL
892
CHARGES FOR SERVICES
42343-34350 - SEWER SERVICE FEES
6,982,387
CHARGES FOR SERVICES TOTAL
6,982,387
MISCELLANEOUS
42361-36100 - INTEREST EARNINGS
167,347
42361-36130 - NET INCR/DECR IN FV OF INVEST
105,414
42364-36400 - SALE OF FIXED ASSETS
195
42366-36650 - REIMBURSEMENTS
7,444
MISCELLANEOUS TOTAL
280,401
TRANSFERSIN
42381-38108 - TRANS FROM WATER FUND
585
42381-38120 - TRANSFER FROM W/S IMPACT FUND
587,700
TRANSFERS IN TOTAL
588,285
SEWER FUND TOTAL
7,851,965
REVISED
BUDGET PROJECTED
100,000 100,000
587,369 587,369
7,788,369 7,859,369
FY 2021
ADOPTED
7,242,000
7,242,000
60,000
1,000
61,000
588,900
588,900
7,891,900
47
REVENUES
SEWER IMPACT FEE FUND
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
FY 2019
ACTUAL
LICENSES, PERMITS & FEES
44324-32421 - RES IMPACT FEES/METER-SEWER 2,495,111
44324-32422 - COMM IMPACT FEES/METER-SEWER 643,913
LICENSES, PERMITS & FEES TOTAL 3,139,024
MISCELLANEOUS
44361-36104 - INTEREST -IMPACT FEES-OTH 264,263
44361-36130 - NET INCR/DECR IN FV OF INVEST 149,980
MISCELLANEOUS TOTAL 414,243
SEWER IMPACT FEE FUND TOTAL 3,553,267
FY 2020
REVISED
BUDGET PROJECTED
2,100,000
3,201,000
290,000
480,000
2,390,000
3,681,000
125,000
260,000
125,000 260,000
ONT
CI. ChdcR
FY 2021
ADOPTED
2,000,000
222,000
2,222,000
125,000
125,000
2,347,000
48
REVENUES
STORMWATER FUND
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
FY 2019 FY 2020
ACTUAL
INTERGOVERNMENTAL
45331-33139-38117 FEDERAL GRANT-LWCF GRANT
200,000
45331-33139-38123 FED GRANT-PHY ENV'T CDBG 38
-
45331-33150-99000 - FEDERAL GRANTS - FEMA - IRMA
2,884
45331-33170-38122 - FED CULT/REC GRANT LWCF 381
200,000
45334-33450-99000 - STATE GRANT - FEMA - IRMA
459
INTERGOVERNMENTAL TOTAL
403,343
CHARGES FOR SERVICES
45343-34370 - STORMWATER FEES
1,596,720
CHARGES FOR SERVICES TOTAL
1,596,720
MISCELLANEOUS
45361-36100 - INTEREST EARNINGS
7,899
45365-36500 - SURPLUS PROPERTY SALES
1,580
45366-36650 - REIMBURSEMENTS
1,180
MISCELLANEOUS TOTAL
10,659
TRANSFERSIN
45381-38110 - TRANS FR SEWER FUND
7,617
TRANSFERS IN TOTAL
7,617
STORMWATER FUND TOTAL
2,018,338
REVISED
BUDGET PROJECTED
208,963
208,963 -
1,800,000 1,703,000
12,000 3,500
2,000 -
14,000 3,500
2,022,963 1,706,500
Y 2021
ADOPTED
208,963
208,963
1,800,000
1,800,000
2,100
2,000
4,100
2,013,063
49
REVENUES
SANITATION FUND
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
FY 2019
INTERGOVERNMENTAL
49331-33150-99000 FEDERAL GRANTS - FEMA - IRMA
39,708
49334-33450-99000 STATE GRANT - FEMA - IRMA
2,505
INTERGOVERNMENTAL TOTAL
42,213
CHARGES FOR SERVICES
49343-34340 - SANITATION FEES
3,263,253
CHARGES FOR SERVICES TOTAL
3,263,253
MISCELLANEOUS
49361-36100 - INTEREST EARNINGS
96,144
49361-36130 - NET INCR/DECR IN FV OF INVEST
30,594
49364-36400 - SALE OF FIXED ASSETS
142,350
49365-36500 - SURPLUS PROPERTY SALES
2,247
49366-36650 - REIMBURSEMENTS
713
MISCELLANEOUS TOTAL
272,049
SANITATION FUND TOTAL
3,577,515
FY 2020
REVISED
BUDGET PROJECTED
50,000 45,000
2,000
55,000 46,100
3,455,000 3,487,100
ONT
CI. ChdcR
FY 2021
ADOPTED
3,468,000
3,468,000
27,000
2,000
1,000
2,000
32,000
3,500,000
50
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
REVENUES
FY 2019
GROUP SELF-INSURANCE FUND
ACTUAL
CHARGES FOR SERVICES
52341-34121 - EMPLOYEE HDP HEALTH CONTRIBUTI
52341-34122 - EMPLOYEE OAP HEALTH CONTRIBUTI
52341-34123 - EMPLOYEE WELLNESS CREDITS
52341-34124 - EMPLOYEE DENTAL CONTRIBUTION
52341-34126 - CITY HDP HEALTH CONTRIBUTION
52341-34127 - CITY OAP HEALTH CONTRIBUTION
52341-34128 - CITY DENTAL CONTRIBUTION
52341-34130 - RETIREE HEALTH CONTRIBUTION
52341-34131 - RETIREE DENTAL CONTRIBUTION
52341-34132 - CITY HDP RETIREE HEALTH CONTRI
52341-34133 - CITY OAP RETIREE HEALTH CONTRI
52341-34134 - CITY RETIREE DENTAL INSURANCE
52341-34135 - COBRA CONTRIBUTION
CHARGES FOR SERVICES TOTAL -
MISCELLANEOUS
52361-36100 - INTEREST EARNINGS
52366-36650 - REIMBURSEMENTS
52366-36690 - WELLNESS REBATES
MISCELLANEOUS TOTAL -
GROUP SELF-INSURANCE FUND TOTAL -
FY 2020
REVISED
BUDGET
PROJECTED
210,782
225,400
614,789
527,018
(73,100)
(66,916)
115,229
112,589
1,006,181
1,153,974
2,961,828
2,716,821
69,058
67,141
100,022
148,040
4,322
7,204
5,533
7,292
48,216
49,159
-
881
8,426 14,565
- 44,737
ONT
CI. ChdcR
FY 2021
ADOPTED
247,940
579,720
(73,608)
123,848
1,269,372
2,988,503
73,855
162,844
7,925
8,021
54,075
969
20,001
5,463,465
16,021
49,211
39,823
105,055
5,568,520
51
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
REVENUES
FY 2019
COMMUN REDEVELOP AGENCY FUND
ACTUAL
AD VALOREM TAXES
60311-31101 - AD VALOREM TAXES 296,596
AD VALOREM TAXES TOTAL 296,596
MISCELLANEOUS
60361-36100 - INTEREST EARNINGS 7,571
60361-36130 - NET INCR/DECR IN FV OF INVEST 4,875
60366-36650 - REIMBURSEMENTS 107
MISCELLANEOUS TOTAL 12,552
COMMUN REDEVELOP AGENCY FUND TO 309,148
FY 2020
REVISED
BUDGET PROJECTED
4,500 8,000
4,500 8,000
387,619 391,119
ONT
CI. ChdcR
FY 2021
ADOPTED
453,229
453,229
4,000
4,000
457,229
52
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURE SUMMARY
CITY COUNCIL FY 2019
ACTUAL
PERSONNEL SERVICES 32,529
OPERATING EXPENSES 3,996
CITY COUNCIL TOTAL 36,524
FY 2020
REVISED
BUDGET PROJECTED
36,831 36,831
3,821 3,037
40,652 39,868
FY 2021
ADOPTED
38,280
3,549
41,829
53
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
CITY COUNCIL
FY 2019
REVISED
ACTUAL BUDGET
FY 2020
FY 2021
PROJECTED ADOPTED
10510 - CITY COUNCIL
10510-12100
- REGULAR SALARIES
30,193
34,186
34,186
35,529
10510-12220
- FICA
2,310
2,615
2,615
2,718
10510-12400
- WORKERS COMPENSATION
26
30
30
33
PERSONNEL SERVICES
32,529
36,831
36,831
38,280
10510-54001
- TRAVEL & PER DIEM
-
1,000
1,000
1,250
10510-54001-10003
- TRAVEL & PER DIEM -SEAT 3
1,233
172
172
-
10510-54001-10004
- TRAVEL & PER DIEM -SEAT 4
595
6
6
-
10510-54001-10005-TRAVEL
& PER DIEM -SEAT 5
446
35
35
-
10510-54101-10004-TELEPHONE-SEAT
4
683
575
575
600
10510-54500
- COMMERCIAL INSURANCE
143
194
194
234
10510-54900-
OTHER CURRENT CHARGES
546
600
600
600
10510-54900-10004-
OTHER CURRENT CHARGES
-
90
90
-
10510-54900-10010
- OTHCUR CHRG COFF W/ MA
193
65
65
200
10510-55203-10004
- UNIFORMS - SEAT 4
-
100
100
-
10510-55219-10004
- SOFTWARE RENEW/SUPPRT
5
60
60
65
10510-55401
- TRAINING & EDUCATION
150
140
140
600
10510-56999
- RESTRICT CURRENT YR BUDGET
-
784
-
-
OPERATING EXPENSES
3,996
3,821
3,037
3,549
TOTAL GENERAL FUND
36,524
40,652
39,868
41,829
54
CITY CLERK
FISCAL YEAR 2021
S
CLER ONT
Choice of Champions
55
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURE SUMMARY
CITY CLERK FY 2019
ACTUAL
PERSONNEL SERVICES 234,304
OPERATING EXPENSES 70,863
CAPITAL OUTLAY 1,299
CITY CLERK TOTAL 306,466
FY 2020
REVISED
BUDGET
PROJECTED
249,972
249,972
108,822
99,827
6,005
6,005
364,799 355,804
FY 2021
ADOPTED
283,377
82,774
366,151
56
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
CITY CLERK
10511 - CITY CLERK
10511-12100 -
REGULAR SALARIES
10511-12120 -
OVERTIME SALARIES
10511-12220 -
FICA
10511-12240 -
DEFINED CONTRIBUTION PENSION
10511-12300 -
GROUP INSURANCE
10511-12305 -
LIFE INSURANCE
10511-12315 -
EMPLOYEE ASSISTANCE PLAN
10511-12400 -
WORKERS COMPENSATION
PERSONNEL SERVICES
10511-53128 -
BACKGROUND INVESTIGATIONS
10511-53156 -
PRO SVCS-CODE SUPPLEMENT
10511-53190 -
PRO SVCS-RECORDS
10511-53401 -
CONTRACT SVCS-GENERAL
10511-54001 -
TRAVEL & PER DIEM
10511-54101 -
TELEPHONE
10511-54102 -
INTERNET SERVICE
10511-54200 -
POSTAGE & FREIGHT
10511-54400 -
RENTALS -EQUIPMENT
10511-54500 -
COMMERCIAL INSURANCE
10511-54640 -
REPAIR & MAINT-COPIERS
10511-54700 -
PRINTING
10511-54900 -
OTHER CURRENT CHARGES
10511-54915 -
ELECTION
10511-54926 -
YOUTH COUNCIL
10511-55100 -
OFFICE SUPPLIES
10511-55203 -
UNIFORMS
10511-55219 -
SOFTWARE RENEWALS/SUPPORT
10511-55400 -
SUBSCRIPTIONS & DUES
10511-55401 -
TRAINING & EDUCATION
OPERATING EXPENSES
10511-66401 -
CAPITAL EQUIPMENT
CAPITAL
OUTLAY
TOTAL GENERAL FUND
FY 2019
REVISED
ACTUAL BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
166,958
189,079
189,079
202,746
740
1,000
1,000
500
12,283
13,741
13,741
14,658
13,961
12,620
12,620
17,523
39,605
32,748
32,748
47,025
524
523
523
639
67
66
66
73
166
195
195
213
234,304
249,972
249,972
283,377
340
120
120
-
3,534
5,000
5,000
5,000
14,400
18,000
18,000
14,400
3,614
-
-
-
4,592
1,710
1,710
7,170
96
600
600
600
165
-
-
-
237
350
350
350
1,512
1,512
1,512
1,512
1,431
1,710
1,710
2,062
2,394
2,200
2,200
2,200
329
500
500
500
1,818
2,200
2,200
2,200
3,726
26,000
26,000
5,000
3,400
3,200
3,200
5,200
1,834
2,600
2,600
2,600
24
-
-
-
25,606
31,785
31,785
29,785
437
815
815
815
1,375
1,525
1,525
3,380
70,863
99,827
99,827
82,774
1,299
-
-
-
1,299
306,466
349,799
349,799
366,151
57
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
d'
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
CITY CLERK
REVISED
ACTUAL BUDGET
PROJECTED
ADOPTED
12511 - CITY CLERK
12511-56999 - RESTRICT CURRENT YR BUDGET -
8,995
-
-
OPERATING EXPENSES _
8,995
_
_
12511-66300 - CAP OUT -OTHER IMPROVEMENT -
6,005
6,005
-
CAPITAL OUTLAY -
6,005
6,005
-
TOTAL INFRASTRUCTURE FUND -
15,000
6,005
-
TOTAL CITY CLERK 306,466
364,799
355,804
366,151
58
CITY MANAGER
FISCAL YEAR 2021
CLE ONT
Choice of Champions'
59
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURE SUMMARY
CITY MANAGER
FY 2019
ACTUAL
PERSONNEL SERVICES
555,825
OPERATING EXPENSES
148,734
CAPITAL OUTLAY
2,437
CITY MANAGER TOTAL
706,996
FY 2020
REVISED
BUDGET
PROJECTED
637,278
637,278
325,415
316,177
12,000
12,000
974,693 965,455
FY 2021
ADOPTED
800,664
191,865
992,529
60
CITY OF
CLERMONT, FLORIDA
d'
FISCAL
YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
CITY MANAGER
REVISED
ACTUAL BUDGET
PROJECTED
ADOPTED
10512 -
CITY MANAGER
10512-12100
- REGULAR SALARIES
358,276
451,398
451,398
587,666
10512-12120
- OVERTIME SALARIES
18
500
500
500
10512-12220
- FICA
23,603
32,050
32,050
42,956
10512-12230
- DEFERRED COMPENSATION
19,889
20,927
20,927
21,990
10512-12240
- DEFINED CONTRIBUTION PENSION
7,519
20,880
20,880
37,646
10512-12300
- GROUP INSURANCE
63,752
71,714
71,714
99,317
10512-12305
- LIFE INSURANCE
921
1,262
1,262
1,851
10512-12306
- CAR ALLOWANCE
8,218
8,268
8,268
8,195
10512-12315
- EMPLOYEE ASSISTANCE PLAN
97
127
127
154
10512-12400
- WORKERS COMPENSATION
297
357
357
389
PERSONNEL SERVICES
482,591
607,483
607,483
800,664
10512-53100
- PRO SVC-GENERAL
2,550
500
500
2,500
10512-53128
- BACKGROUND INVESTIGATIONS
253
120
120
120
10512-54001
- TRAVEL & PER DIEM
2,608
4,600
4,600
3,500
10512-54001-12001
- TRVL & PER DIEM COMMUN
-
200
200
800
10512-54101
- TELEPHONE
1,044
1,750
1,750
2,000
10512-54200
- POSTAGE & FREIGHT
310
200
200
200
10512-54500
- COMMERCIAL INSURANCE
2,625
3,103
3,103
3,742
10512-54601-
REPAIR & MAINT-VEHICLES
-
300
300
300
10512-54640
- REPAIR & MAINT-COPIERS
1,004
1,300
1,300
1,300
10512-54700
- PRINTING
298
300
300
300
10512-54801-12001
- PROMOTION COMMUNICAT
-
2,000
2,000
2,000
10512-54900-12002
- OTH CURR CHRG CL HIST B
-
2,000
2,000
-
10512-55100
- OFFICE SUPPLIES
785
1,400
1,400
1,400
10512-55201
- GAS & OIL
199
400
400
500
10512-55203
- UNIFORMS
91
-
-
-
10512-55204
- MINOR EQUIPMENT
569
370
370
750
10512-55204-12001
- MINOR EQPMT COMMUNICA
-
1,402
1,402
-
10512-55219
- SOFTWARE RENEWALS/SUPPORT
10
73
73
-
10512-55219-12001
- SOFTWARE RNWLS/SPRT C
-
600
600
1,200
10512-55221-99003
- COVID-19 EQPT & SUPPLIE
-
216
216
-
10512-55400
- SUBSCRIPTIONS & DUES
4,965
7,600
7,600
2,000
10512-55400-12001
- SUBS & DUES COMMUNICA
-
956
956
956
10512-55401
- TRAINING & EDUCATION
22,231
17,000
17,000
5,865
61
CITY OF CLERMONT, FLORIDA d'
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
CITY MANAGER
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
10512 - CITY MANAGER (Cont.)
10512-55401-12001 - TRAINING & ED COMMUNIC
-
1,050
1,050
2,650
OPERATING EXPENSES
39,541
47,440
47,440
32,083
10512-66401 - CAPITAL EQUIPMENT
2,437
-
-
-
CAPITAL OUTLAY
2,437
-
-
-
TOTAL GENERAL FUND
524,569
654,923
654,923
832,747
12512 - CITY MANAGER
12512-66300 - CAP OUT -OTHER IMPROVEMENT
-
12,000
12,000
-
CAPITAL OUTLAY
-
12,000
12,000
-
TOTAL INFRASTRUCTURE FUND
-
12,000
12,000
-
EXPENDITURES
FY 2019
FY 2020
FY 2021
CITY MANAGER
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
10559 - ECONOMIC DEVELOPMENT
10559-12100 - REGULAR SALARIES
57,348
23,742
23,742
-
10559-12220 - FICA
4,320
1,787
1,787
-
10559-12240 - DEFINED CONTRIBUTION PENSION
5,040
-
-
-
10559-12300 - GROUP INSURANCE
6,242
4,129
4,129
-
10559-12305 - LIFE INSURANCE
198
57
57
-
10559-12315 - EMPLOYEE ASSISTANCE PLAN
13
15
15
-
10559-12400 - WORKERS COMPENSATION
73
65
65
-
PERSONNEL SERVICES
73,235
29,795
29,795
-
10559-53100 - PRO SVCS-GENERAL
91,379
252,083
252,083
150,000
10559-53100-95112 - PRO SVCS-WELLNESS WAY
2,500
-
-
-
10559-54001 - TRAVEL & PER DIEM
458
-
-
-
10559-54101 - TELEPHONE
-
235
235
-
10559-54200 - POSTAGE & FREIGHT
43
200
200
200
10559-54500 - COMMERCIAL INSURANCE
963
7,116
7,116
8,582
10559-54700 - PRINTING
-
200
200
200
10559-54900 - OTHER CURRENT CHARGES
5,500
-
-
-
10559-55100 - OFFICE SUPPLIES
110
300
300
300
10559-55204 - MINOR EQUIPMENT
470
1,420
1,420
-
10559-55212 - COMMUNITY RELATIONS
2,002
-
-
-
62
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
CITY MANAGER
FY 2021
REVISED
ACTUAL BUDGET PROJECTED ADOPTED
10559 - ECONOMIC DEVELOPMENT (Cont.)
FY 2019
FY 2020
10559-55400 - SUBSCRIPTIONS & DUES
5,694
5,250
5,250
500
10559-55401 - TRAINING & EDUCATION
75
1,933
1,933
-
10559-56999 - RESTRICT CURRENT YR BUDGET
-
9,238
-
-
OPERATING EXPENSES
109,193
277,975
268,737
159,782
TOTAL GENERAL FUND
182,428
307,770
298,532
159,782
TOTAL CITY MANAGER
974,693
992,529
706,996
965,455
63
�E
LERI"(ONT
Choice of Champions
64
FINANCE DEPARTMENT
FISCAL YEAR 2021
S
CLER ONT
Choice of Champions
65
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURE SUMMARY
FINANCE
FY 2019
ACTUAL
PERSONNEL SERVICES 785,333
OPERATING EXPENSES 154,031
CAPITAL OUTLAY 2,437
FINANCE TOTAL 941,801
FY 2020
REVISED
BUDGET PROJECTED
869,687 869,687
178,352 147,323
11,501 11,501
1,059,540 1,028,511
FY 2021
ADOPTED
833,969
165,807
999,776
66
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
FINANCE
10513 - FINANCE
10513-12100 -
REGULAR SALARIES
10513-12120 -
OVERTIME SALARIES
10513-12220 -
FICA
10513-12240 -
DEFINED CONTRIBUTION PENSION
10513-12300 -
GROUP INSURANCE
10513-12305 -
LIFE INSURANCE
10513-12315 -
EMPLOYEE ASSISTANCE PLAN
10513-12400 -
WORKERS COMPENSATION
PERSONNEL SERVICES
10513-53128 -
BACKGROUND INVESTIGATIONS
10513-53129 -
DRUG SCREENS
10513-53154 -
PRO SVCES-INVESTMENT ADVISOR
10513-53200 -
AUDIT FEE
10513-53401 -
CONTRACT SVCS-GENERAL
10513-54001 -
TRAVEL & PER DIEM
10513-54101 -
TELEPHONE
10513-54200 -
POSTAGE & FREIGHT
10513-54500 -
COMMERCIAL INSURANCE
10513-54640 -
REPAIR & MAINT-COPIERS
10513-54700 -
PRINTING
10513-54900 -
OTHER CURRENT CHARGES
10513-54900-22200
- OTH CUR CHARGE RETIREM
10513-54909 -
BANK SERVICE CHARGES
10513-55100 -
OFFICE SUPPLIES
10513-55203 -
UNIFORMS
10513-55204 -
MINOR EQUIPMENT
10513-55219 -
SOFTWARE RENEWALS/SUPPORT
10513-55221-99003
- COVID-19 EQPT & SUPPLIE
10513-55400 -
SUBSCRIPTIONS & DUES
10513-55400-99003
- SUBS & DUES COVID-19 99
10513-55401 -
TRAINING & EDUCATION
10513-56999 -
RESTRICT CURRENT YR BUDGET
OPERATING EXPENSES
10513-66401 -
CAPITAL EQUIPMENT
FY 2019
REVISED
ACTUAL BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
569,946
645,494
645,494
610,974
17,821
16,725
16,725
6,000
42,272
38,189
38,189
40,210
41,579
59,500
59,500
54,903
111,296
107,199
107,199
119,185
1,729
1,786
1,786
1,853
229
242
242
242
461
552
552
602
785,333
869,687
869,687
833,969
310
310
310
400
-
35
35
-
4,322
4,500
4,500
4,620
44,000
46,000
46,000
46,000
2,138
1,000
1,000
1,050
4,644
1,000
1,000
5,000
690
1,015
1,015
780
2,280
2,350
2,350
2,450
4,108
5,005
5,005
6,037
4,502
4,400
4,400
4,500
1,133
900
900
945
845
600
600
600
-
813
813
-
12,853
14,000
14,000
16,500
6,867
5,000
5,000
5,250
24
-
-
-
1,920
500
500
525
52,589
51,000
51,000
60,000
-
200
200
-
1,159
1,150
1,150
1,150
-
45
45
-
9,647
7,500
7,500
10,000
-
31,003
-
-
154,031
178,326
147,323
165,807
2,437
-
-
-
67
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FINANCE
REVISED
ACTUAL
BUDGET
PROJECTED
10513 - FINANCE (Cont.)
10513-66401-99003 - CAP OUT-EQPT COVID 9900
-
5,000
5,000
CAPITAL OUTLAY
2,437
5,000
5,000
TOTAL GENERAL FUND
941,801
1,053,013
1,022,010
12513 - FINANCE
12513-56999 - RESTRICT CURRENT YR BUDGET
-
26
-
OPERATING EXPENSES
_
26
_
12513-66401 - CAP OUT -EQUIPMENT
-
6,501
6,501
CAPITAL OUTLAY
-
6,501
6,501
TOTAL INFRASTRUCTURE FUND
-
6,527
6,501
TOTAL FINANCE
941,801
1,059,540
1,028,511
FY 2021
ADOPTED
999,776
999,776
68
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURE SUMMARY
LEGAL SERVICES FY 2019
ACTUAL
OPERATING EXPENSES 115,595
CAPITAL OUTLAY 1,026
LEGAL SERVICES TOTAL 116,621
FY 2020
REVISED
BUDGET PROJECTED
100,000 105,000
100,000 105,000
FY 2021
ADOPTED
105,000
105,000
69
CITY OF CLERMONT, FLORIDA d'
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
LEGAL SERVICES
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
lOS14 - LEGAL SERVICES
10514-53157 - PRO SVC-CITY ATTORNEY
110,301
95,000
100,000
100,000
10514-53182 - PRO SVC-LABOR ATTORNEY
4,584
5,000
5,000
5,000
10514-55204 - MINOR EQUIPMENT
710
-
-
-
OPERATING EXPENSES
115,595
100,000
105,000
105,000
10514-66401 - CAPITAL EQUIPMENT
1,026
-
-
-
CAPITAL OUTLAY
1,026
-
-
-
TOTAL GENERAL FUND
116,621
100,000
105,000
105,000
70
PLANNING AND DEVELOPMENT SERVICES DEPARTMENT
FISCAL YEAR 2021
S
CLER ONT
Choice of Champions
71
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURE SUMMARY
PLANNING & DEVELOPMENT SERVICES
FY 2019
ACTUAL
PERSONNEL SERVICES
561,880
OPERATING EXPENSES
222,194
CAPITAL OUTLAY
61,622
GRANTS & AIDS
15,000
PLANNING & DEVELOPMENT SERVICES
860,696
TOTAL
FY 2020
REVISED
BUDGET
PROJECTED
594,480
595,191
357,323
275,468
351,100
360,000
91,000
50,000
1,393,903 1,280,659
FY 2021
ADOPTED
635,628
283,247
100,000
1,018,875
72
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
PLANNING & DEVELOPMENT SERVICES
10515 - PLANNING & DEVELOPMENT SERVICE
10515-12100 -
REGULAR SALARIES
10515-12100-15000 - REGULAR SALARIES - COMM
10515-12120 -
OVERTIME SALARIES
10515-12220 -
FICA
10515-12220-15000 - FICA - COMM PLANNING GR
10515-12240 -
DEFINED CONTRIBUTION PENSION
10515-12300 -
GROUP INSURANCE
10515-12305 -
LIFE INSURANCE
10515-12315 -
EMPLOYEE ASSISTANCE PLAN
10515-12400 -
WORKERS COMPENSATION
PERSONNEL SERVICES
10515-53100 -
PRO SVCS-GENERAL
10515-53128 -
BACKGROUND INVESTIGATIONS
10515-53129 -
DRUG SCREENS
10515-53130 -
MEDICAL SERVICES
10515-53189-15100 - PRO SVCS-CODE ENFORCE
10515-54001 -
TRAVEL & PER DIEM
10515-54001-15100 - TRAVEL & PER DIEM -CODE
10515-54101-15100 - TELEPHONE -CODE ENF 151
10515-54200 -
POSTAGE & FREIGHT
10515-54200-15100 - POSTAGE & FREIGHT -CODE
10515-54500 -
COMMERCIAL INSURANCE
10515-54601 -
REPAIR & MAINT-VEHICLES
10515-54608 -
REPAIR & MAINT-COUNTY RADIOS
10515-54640 -
REPAIR & MAINT-COPIERS
10515-54700 -
PRINTING
10515-54700-15100 - PRINTING -CODE ENF 15100
10515-54800 -
ADVERTISING
10515-54900 -
OTHER CURRENT CHARGES
10515-55100 -
OFFICE SUPPLIES
10515-55100-15100 - OFFICE SUPPLIES -CODE EN
10515-55200 -
OPERATING SUPPLIES
10515-55200-15100 - OPERATING SUPPL-CODE E
10515-55201 -
GAS & OIL
FY 2019
REVISED
ACTUAL BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
371,707
395,481
395,481
358,064
8,570
-
-
-
1,262
600
600
400
26,479
28,618
28,618
25,117
656
-
-
-
27,009
36,336
36,336
35,846
100,190
81,516
81,516
81,621
1,130
1,236
1,236
1,128
189
198
198
141
1,110
1,326
1,326
1,447
538,301
545,311
545,311
503,764
38,965
54,000
54,000
40,000
272
500
500
-
38
200
200
-
75
-
-
-
4,182
5,000
5,000
5,000
288
1,530
1,530
2,500
1,342
50
50
2,000
2,156
2,000
2,000
2,000
3,192
2,000
2,000
3,000
1,784
2,000
2,000
2,500
3,291
4,438
4,438
5,353
1,147
1,000
1,000
1,000
192
250
250
250
2,849
2,000
2,000
1,000
2,182
2,500
2,500
2,000
95
200
200
1,000
242
200
200
-
1,442
-
-
-
226
2,000
2,000
2,000
57
200
200
350
20
300
300
300
408
600
600
1,000
326
384
384
600
73
CITY OF CLERMONT, FLORIDA
d'
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
PLANNING & DEVELOPMENT SERVICES
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
10515 - PLANNING & DEVELOPMENT SERVICE (Cont.)
10515-55201-15100 - GAS & OIL -CODE ENF 1510
1,434
2,000
2,000
2,000
10515-55202 - TIRES & BATTERIES
950
250
250
250
10515-55202-15100 - TIRES & BATTERIES -CODE
-
500
500
500
10515-55203-15100 - UNIFORMS -CODE ENF 1510
850
300
300
300
10515-55204 - MINOR EQUIPMENT
794
2,000
2,000
2,000
10515-55204-15100 - MINOR EQUIPMENT -CODE E
367
500
500
500
10515-55209-15100 - SAFETY SHOES -CODE ENF
100
-
-
300
10515-55219 - SOFTWARE RENEWALS/SUPPORT
12,041
13,750
13,750
13,750
10515-55219-15100 - S-WARE RENEWAL/SUPP CO
914
1,100
1,100
1,100
10515-55400 - SUBSCRIPTIONS & DUES
1,248
2,500
2,500
2,500
10515-55400-15100 - SUBS & DUES -CODE ENF 1
150
300
300
300
10515-55401 - TRAINING & EDUCATION
2,082
3,275
3,275
6,000
10515-55401-15100 - TRAINING & EDUCAT-CODE
2,470
1,700
1,700
3,000
10515-55411 - MPO DUES
17,988
-
-
-
10515-56999 - RESTRICT CURRENT YR BUDGET
-
61,553
-
-
OPERATING EXPENSES
106,159
171,080
109,527
104,353
10515-66401 - CAPITAL EQUIPMENT
8,935
-
-
-
CAPITAL OUTLAY
8,935
-
-
-
TOTAL GENERAL FUND
653,396
716,391
654,838
608,117
12515 - DEVELOPMENT SERVICES
12515-56999 - RESTRICT CURRENT YR BUDGET
-
19,000
-
-
OPERATING EXPENSES
-
19,000
-
-
12515-66400 - CAP OUT -VEHICLES
22,686
-
-
-
CAPITAL OUTLAY
22,686
-
-
-
TOTAL INFRASTRUCTURE FUND
22,686
19,000
-
-
EXPENDITURES
FY 2019
FY 2020
FY 2021
PLANNING & DEVELOPMENT SERVICES
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
60552 - COMMUNITY REDEVELOPMENT AGENCY
60552-12100 - REGULAR SALARIES
18,681
27,302
40,016
97,906
60552-12120 - OVERTIME SALARIES
-
1,000
-
1,000
60552-12220 - FICA
1,407
1,693
2,990
7,177
74
CITY OF
CLERMONT, FLORIDA
d'
FISCAL
YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
PLANNING
& DEVELOPMENT SERVICES
REVISED
ACTUAL BUDGET
PROJECTED
ADOPTED
60552 -
COMMUNITY REDEVELOPMENT AGENCY (Cont.)
60552-12240
- DEFINED CONTRIBUTION PENSION
1,684
2,830
2,561
8,100
60552-12300
- GROUP INSURANCE
1,711
16,208
4,135
17,292
60552-12305
- LIFE INSURANCE
65
86
124
308
60552-12315
- EMPLOYEE ASSISTANCE PLAN
4
24
25
48
60552-12400
- WORKERS COMPENSATION
26
26
29
33
PERSONNEL SERVICES
23,579
49,169
49,880
131,864
60552-53100-95101
- PRO SVCS - MASTER PLAN
-
-
5,400
-
60552-53128
- BACKGROUND INVESTIGATIONS
-
16
-
16
60552-53129
- DRUG SCREENS
-
16
-
16
60552-53154
- PRO SVC-INVESTMENT ADVISOR
153
140
156
175
60552-53401
- CONTRACT SVCS-GENERAL
-
334
-
-
60552-53402
- CONTRACT SVCS-CLEANING
11,500
23,000
23,000
23,004
60552-53402-38110
- CONT SVC-CLEAN VICTORY
2,901
3,510
3,510
3,510
60552-53404
- CONTRACT SVCS-PEST CONT
20
-
120
120
60552-53404-38110
- CONT SVC-PEST VIC PT 381
38
587
587
587
60552-53412-38110
- CON SVC-ELEV MTC VIC PT
505
540
540
540
60552-54001
- TRAVEL & PER DIEM
-
834
319
800
60552-54101
- TELEPHONE
-
1,000
-
-
60552-54200
- POSTAGE & FREIGHT
-
50
-
50
60552-54300
- ELECTRIC & GAS SERVICE
9,287
15,000
15,000
15,000
60552-54300-38110
- ELEC & GAS SVC VIC PT 38
1,964
1,350
3,600
3,600
60552-54301
- WATER & SEWER SERVICE
496
600
600
600
60552-54301-38110
- W&S SVC VIC PT 38110
291
675
500
600
60552-54304
- SOLID WASTE DISPOSAL FEES
-
1,666
-
-
60552-54400
- RENTALS -EQUIPMENT
9,980
11,666
9,980
11,666
60552-54404
- RENTALS -LAND
16,080
39,480
45,000
39,480
60552-54500
- COMMERCIAL INSURANCE
6,657
7,309
7,309
8,314
60552-54600-38110
- R&M -BUILDINGS VIC PT 38
181
810
810
1,000
60552-54601
- REPAIR & MAINT-VEHICLES
-
334
-
334
60552-54606-38110
- R&M -GROUNDS VIC PT 381
1,347
270
400
300
60552-54607
- REPAIR & MAINT-SOD
-
334
334
334
60552-54607-38110
- R&M -SOD VIC PT 38110
-
135
135
135
60552-54614
- REPAIR & MAINT-EQUIPMENT
-
1,000
-
-
60552-54617-38110
- R&M -FISHING PIERS VP 38
149
810
810
800
75
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
PLANNING & DEVELOPMENT SERVICES
60552 - COMMUNITY REDEVELOPMENT AGENCY (Cont.)
60552-54630 - REPAIR & MAINT-OTHER
60552-54630-95100 - REPAIR & MAINT-OTHER- C
60552-54700 - PRINTING
60552-54800 - ADVERTISING
60552-54801 - PROMOTION
60552-54810-52001 - CRA EVENT -SIPS & SALSA 5
60552-54904-38110 - AQUATIC WEED CTRL VIC P
60552-54909 - BANK SERVICE CHARGES
60552-54912-38110 - SEC/MON SVC VICT PT 381
60552-55100 - OFFICE SUPPLIES
60552-55200 - OPERATING SUPPLIES
60552-55200-38110 - OPERATING SUP VIC PT 381
60552-55201 - GAS & OIL
60552-55202 - TIRES & BATTERIES
60552-55203 - UNIFORMS
60552-55204 - MINOR EQUIPMENT
60552-55204-95100 - MINOR EQUIPMENT - CRA S
60552-55205 - SAFETY EQUIPMENT
60552-55209 - SAFETY SHOES
60552-55400 - SUBSCRIPTIONS & DUES
60552-55401 - TRAINING & EDUCATION
OPERATING EXPENSES
60552-66300 - CAP OUT -OTHER IMPROVEMENT
60552-66300-52002 - CAP OUT-ARTWALK PROJEC
CAPITAL OUTLAY
60552-88215 - CRA GRANTS
60552-88228 - FOOD RELATED SERVICES GRANT
GRANTS & AIDS
TOTAL COMMUN REDEVELOP AGENCY FUND
TOTAL PLANNING & DEVELOPMENT
SERVICES
FY 2019
REVISED
ACTUAL BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
3,319
-
-
-
11,597
5,000
5,000
5,000
-
34
46
-
-
2,500
-
2,000
-
2,500
-
2,000
23,152
20,000
20,000
20,000
808
1,600
1,600
1,600
80
70
78
90
-
779
-
-
-
66
66
66
-
666
200
666
415
432
432
432
-
334
334
334
-
66
66
66
-
932
932
932
-
2,916
1,000
-
14,941
15,750
15,750
32,000
-
266
266
266
-
266
266
266
175
200
795
795
-
1,400
1,000
1,400
116,034
167,243
165,941
178,894
30,001
-
-
-
-
351,100
360,000
-
30,001
351,100
360,000
-
-
-
50,000
100,000
15,000
91,000
-
-
15,000
91,000
50,000
100,000
184,614
658,512
625,821
410,758
860,696
1,393,903
1,280,659
1,018,875
76
INFORMATION TECHNOLOGY DEPARTMENT
FISCAL YEAR 2021
S
CLER ONT
Choice of Champions
77
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURE SUMMARY
INFORMATION TECHNOLOGY FY 2019
ACTUAL
PERSONNEL SERVICES 537,865
OPERATING EXPENSES 175,932
CAPITAL OUTLAY 193,727
INFORMATION TECHNOLOGY TOTAL 907,524
FY 2020
REVISED
BUDGET PROJECTED
595,800 595,800
262,327 260,584
328,584 328,584
1,186,711 1,184,968
FY 2021
ADOPTED
677,943
226,641
20,000
924,584
78
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
INFORMATION TECHNOLOGY
10516 - INFORMATION TECHNOLOGY
10516-12100 -
REGULAR SALARIES
10516-12120 -
OVERTIME SALARIES
10516-12220 -
FICA
10516-12240 -
DEFINED CONTRIBUTION PENSION
10516-12300 -
GROUP INSURANCE
10516-12305 -
LIFE INSURANCE
10516-12315 -
EMPLOYEE ASSISTANCE PLAN
10516-12400 -
WORKERS COMPENSATION
PERSONNEL SERVICES
10516-53100 -
PRO SVCS-GENERAL
10516-53128 -
BACKGROUND INVESTIGATIONS
10516-54001 -
TRAVEL & PER DIEM
10516-54101 -
TELEPHONE
10516-54102 -
INTERNET SERVICE
10516-54200 -
POSTAGE & FREIGHT
10516-54500 -
COMMERCIAL INSURANCE
10516-54601 -
REPAIR & MAINT-VEHICLES
10516-54623 -
REPAIR & MAINT-IT EQUIP
10516-54640 -
REPAIR & MAINT-COPIERS
10516-54700 -
PRINTING
10516-55100 -
OFFICE SUPPLIES
10516-55200 -
OPERATING SUPPLIES
10516-55201 -
GAS & OIL
10516-55203 -
UNIFORMS
10516-55204 -
MINOR EQUIPMENT
10516-55204-99003 - MINOR EQUIPMENT-COVIDI
10516-55219 -
SOFTWARE RENEWALS/SUPPORT
10516-55219-99003 - SOFTWARE RENEW/SUP CO
10516-55400 -
SUBSCRIPTIONS & DUES
10516-55400-99003 - SUBS & DUES COVID 99003
10516-55401 -
TRAINING & EDUCATION
10516-56999 -
RESTRICT CURRENT YR BUDGET
OPERATING EXPENSES
10516-66401 -
CAPITAL EQUIPMENT
FY 2019
REVISED
ACTUAL BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
395,531
446,458
446,458
498,361
89
200
200
400
28,697
33,000
33,000
35,747
33,158
43,768
43,768
46,623
78,688
70,429
70,429
94,627
1,215
1,402
1,402
1,570
146
154
154
170
341
389
389
445
537,865
595,800
595,800
677,943
1,000
14,000
14,000
2,000
69
54
54
-
1,531
1,300
1,300
4,300
2,139
1,550
1,550
1,920
52,760
50,000
50,000
52,117
59
25
25
50
2,376
6,884
6,884
8,304
-
50
50
50
19,800
15,000
15,000
18,000
1,056
750
750
750
50
-
225
225
50
72
175
175
200
65
100
100
150
24
-
-
-
14,387
10,000
10,000
6,000
-
763
763
-
75,430
124,000
124,000
123,100
-
7,778
7,778
-
200
200
200
200
-
40
40
-
4,964
7,000
7,000
9,400
-
953
-
-
175,932
240,847
239,894
226,641
20,051
-
-
-
79
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
INFORMATION TECHNOLOGY
REVISED
ACTUAL
BUDGET
PROJECTED
10516 - INFORMATION TECHNOLOGY (Cont.)
10516-66403 - CAP OUT- IT EQUIPMENT
11,645
-
-
10516-66404 - CAP OUT -SOFTWARE
17,566
-
-
10516-66406 - CAP OUT -IT NETWORK
-
22,710
22,710
CAPITAL OUTLAY
49,262
22,710
22,710
TOTAL GENERAL FUND
763,059
859,357
858,404
12516 - INFORMATION TECHNOLOGY
12516-55204 - MINOR EQUIPMENT (5 YR LIFE)
-
20,690
20,690
12516-56999 - RESTRICT CURRENT YR BUDGET
-
790
-
OPERATING EXPENSES
-
21,480
20,690
12516-66300 - OTHER IMPROVEMENTS
-
2,899
2,899
12516-66300-16000 - CAP OUT -OTHER IMP FIBER
1,045
221,231
221,231
12516-66403 - CAP OUT- IT EQUIPMENT
-
49,310
49,310
(20) REPLACEMENT WORKSTATIONS & LAPTOPS
DELL DESKTOP PC'S AND LAPTOPS THAT HAVE REACHED END OF 5
..................................................................................................................
YEAR USABLE LIFE.
12516-66405 - CAP OUT -IT SERVER
22,781
21,210
21,210
12516-66406 - CAP OUT -IT NETWORK
91,863
-
-
12516-66900-16000 - CAP OUT -PRO FIBR NETWR
28,776
11,224
11,224
CAPITAL OUTLAY
144,464
305,874
305,874
TOTAL INFRASTRUCTURE FUND
144,464
327,354
326,564
TOTAL INFORMATION TECHNOLOGY
907,524
1,186,711
1,184,968
FY 2021
ADOPTED
904,584
20,000
20,000
20,000
20,000
924,584
80
HUMAN RESOURCES DEPARTMENT
FISCAL YEAR 2021
S
CLER ONT
Choice of Champions
81
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURE SUMMARY
HUMAN RESOURCES FY 2019
ACTUAL
PERSONNEL SERVICES 470,587
OPERATING EXPENSES 37,934
CAPITAL OUTLAY 5,538
HUMAN RESOURCES TOTAL 514,058
FY 2020
REVISED
BUDGET PROJECTED
494,809 494,809
61,903 35,347
5,411 5,411
562,123 535,567
FY 2021
ADOPTED
545,537
43,196
588,733
82
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
HUMAN RESOURCES
10560 - HUMAN RESOURCES
10560-12100 -
REGULAR SALARIES
10560-12120 -
OVERTIME SALARIES
10560-12220 -
FICA
10560-12240 -
DEFINED CONTRIBUTION PENSION
10560-12300 -
GROUP INSURANCE
10560-12305 -
LIFE INSURANCE
10560-12315 -
EMPLOYEE ASSISTANCE PLAN
10560-12400 -
WORKERS COMPENSATION
PERSONNEL SERVICES
10560-53100 -
PRO SVCS-GENERAL
10560-53128 -
BACKGROUND INVESTIGATIONS
10560-53129 -
DRUG SCREENS
10560-54001 -
TRAVEL & PER DIEM
10560-54200 -
POSTAGE & FREIGHT
10560-54500 -
COMMERCIAL INSURANCE
10560-54640 -
REPAIR & MAINT-COPIERS
10560-54700 -
PRINTING
10560-54900 -
OTHER CURRENT CHARGES
10560-54913 -
EMPLOYEE RECOGNITION
10560-55100 -
OFFICE SUPPLIES
10560-55201 -
GAS & OIL
10560-55204 -
MINOR EQUIPMENT
10560-55219 -
SOFTWARE RENEWALS/SUPPORT
10560-55221-99003 - COVID-19 EQPT & SUPPLIE
10560-55400 -
SUBSCRIPTIONS & DUES
10560-55401 -
TRAINING & EDUCATION
10560-55401-60000 - TRAINING & EDUCATION-C
10560-56999 -
RESTRICT CURRENT YR BUDGET
OPERATING EXPENSES
10560-66401 -
CAP OUT -EQUIPMENT
10560-66401-99003 - CAP OUT-EQPT COVID-19 9
CAPITAL OUTLAY
FY 2019
REVISED
ACTUAL BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
361,386
375,749
375,749
402,149
303
70
70
200
26,759
27,042
27,042
28,250
21,427
26,506
26,506
30,769
59,179
63,765
63,765
82,417
1,099
1,186
1,186
1,229
143
144
144
145
291
347
347
378
470,587
494,809
494,809
545,537
2,750
-
-
2,888
109
200
200
105
-
-
-
50
349
314
314
450
437
200
200
200
1,575
2,403
2,403
2,898
1,919
2,000
2,000
2,000
46
150
150
250
640
1,242
1,242
1,510
7,023
9,300
9,300
10,000
2,609
2,500
2,500
2,500
-
100
100
200
305
1,418
1,418
100
12,928
13,240
13,240
14,611
-
15
15
-
772
605
605
759
6,472
1,660
1,660
2,175
-
-
-
2,500
-
17,556
-
-
37,934
52,903
35,347
43,196
5,538
4,161
4,161
-
1,250 1,250 -
5,538 5,411 5,411 -
83
CITY OF CLERMONT, FLORIDA d'
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019 FY 2020 FY 2021
HUMAN RESOURCES
REVISED
ACTUAL BUDGET PROJECTED ADOPTED
TOTAL GENERAL FUND 514,058 553,123 535,567 588,733
12560 - HUMAN RESOURCES
12560-56999 - RESTRICT CURRENT YR BUDGET - 9,000 - -
OPERATING EXPENSES - 9,000 - -
TOTAL INFRASTRUCTURE FUND - 9,000 - -
TOTAL HUMAN RESOURCES 514,058 562,123 535,567 588,733
84
PROCUREMENT SERVICES DEPARTMENT
FISCAL YEAR 2021
S
CLER ONT
Choice of Champions
85
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURE SUMMARY
PROCUREMENT SERVICES FY 2019
ACTUAL
PERSONNEL SERVICES 264,309
OPERATING EXPENSES 22,828
PROCUREMENT SERVICES TOTAL 287,137
FY 2020
REVISED
BUDGET PROJECTED
276,397 276,397
30,778 23,500
307,175 299,897
FY 2021
ADOPTED
262,873
26,792
289,665
86
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
PROCUREMENT SERVICES
10565 - PROCUREMENT SERVICES
10565-12100 -
REGULAR SALARIES
10565-12120 -
OVERTIME SALARIES
10565-12220 -
FICA
10565-12240 -
DEFINED CONTRIBUTION PENSION
10565-12300 -
GROUP INSURANCE
10565-12305 -
LIFE INSURANCE
10565-12315 -
EMPLOYEE ASSISTANCE PLAN
10565-12400 -
WORKERS COMPENSATION
PERSONNEL SERVICES
10565-53128 -
BACKGROUND INVESTIGATIONS
10565-54001 -
TRAVEL & PER DIEM
10565-54101 -
TELEPHONE
10565-54200 -
POSTAGE & FREIGHT
10565-54500 -
COMMERCIAL INSURANCE
10565-54700 -
PRINTING
10565-54801 -
PROMOTION
10565-54900 -
OTHER CURRENT CHARGES
10565-55100 -
OFFICE SUPPLIES
10565-55201 -
GAS & OIL
10565-55204 -
MINOR EQUIPMENT
10565-55219 -
SOFTWARE RENEWALS/SUPPORT
10565-55400 -
SUBSCRIPTIONS & DUES
10565-55401 -
TRAINING & EDUCATION
10565-56999 -
RESTRICT CURRENT YR BUDGET
OPERATING EXPENSES
TOTAL GENERAL FUND
FY 2019
FY 2020
FY 2021
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
197,990
205,849
205,849
191,973
-
800
800
200
14,618
15,745
15,745
14,184
13,926
15,872
15,872
19,217
36,943
37,200
37,200
36,408
587
653
640
605
82
83
96
73
163
195
195
213
264,309
276,397
276,397
262,873
134
-
-
-
2,020
620
1,660
1,260
706
1,335
860
860
540
168
360
210
-
1,660
1,660
2,002
46
10
360
260
1,030
-
-
-
78
-
500
500
501
250
600
600
151
126
200
300
955
200
200
200
10,012
14,845
10,200
13,800
1,045
1,386
2,500
2,800
5,610
2,900
4,400
4,000
-
7,278
-
-
22,828
30,778
23,500
26,792
287,137
307,175
299,897
289,665
87
�E
LERI"(ONT
Choice of Champions
88
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURE SUMMARY
GENERAL GOVERNMENT
FY 2019
ACTUAL
PERSONNEL SERVICES
-
OPERATING EXPENSES
269,268
CAPITAL OUTLAY
28,902
DEBT SERVICE
2,808,578
GENERAL GOVERNMENT TOTAL
3,106,747
FY 2020
FY 2021
REVISED
BUDGET
56,132
5,788,985
2,808,268
8,653,385
PROJECTED
56,132
5,782,445
2,808,268
8,646,845
ADOPTED
68,061
5,868,123
2,807,855
8,744,039
89
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
GENERAL GOVERNMENT
10519 - OTHER GENERAL GOVERNMENT
10519-53100 -
PRO SVCS-GENERAL
10519-53402 -
CONTRACT SVCS-CLEANING CITY
10519-54101 -
TELEPHONE
10519-54300 -
ELECTRIC & GAS SVC CITY HALL
10519-54301 -
WATER & SEWER SVC CITY HALL
10519-54500 -
COMMERCIAL INSURANCE
10519-54600-19103 - R&M -BUILDING -CITY HALL
10519-54601 -
REPAIR & MAINT-VEHICLES
10519-54606-19103 - R&M -GROUNDS -CITY HALL
10519-54800 -
ADVERTISING
10519-54801 -
PROMOTION
10519-54900 -
OTHER CURRENT CHARGES
10519-54907 -
UNCOLLECTIBLE ACCOUNTS
10519-54912 -
SECURITY/MONITORING SERVICE
10519-55200 -
OPERATING SUPPLIES
10519-55201 -
GAS & OIL
10519-55202 -
TIRES & BATTERIES
10519-55204 -
MINOR EQUIPMENT
10519-55219 -
SOFTWARE RENEWALS/SUPPORT
10519-55221-99002 - EOC EQPT & SUPP DORIAN
10519-55400 -
SUBSCRIPTIONS & DUES
OPERATING EXPENSES
TOTAL GENERAL FUND
12519 - OTHER GENERAL GOVERNMENT
12519-53154 - PRO SVCES-INVESTMENT ADVISOR
12519-54909 - BANK SERVICE CHARGES
OPERATING EXPENSES
12519-66400 - CAP OUT -VEHICLES
CAPITAL OUTLAY
TOTAL INFRASTRUCTURE FUND
32519 - OTHER GENERAL GOVERNMENT
32519-53154 - PRO SVC-INVESTMENT ADVISOR
32519-54909 - BANK SERVICE CHARGES
FY 2019
REVISED
ACTUAL BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
5,000
10,000
10,000
10,000
43,800
43,800
43,800
43,800
13,289
14,500
14,500
15,000
59,042
59,000
59,000
62,000
4,922
5,000
5,000
6,000
-
7,113
7,113
7,886
18,082
1,230
1,230
1,000
-
52
52
50
172
42
42
50
29,716
34,000
34,000
34,000
3,970
2,000
2,000
2,000
4,894
9,855
9,855
6,000
37,690
500
500
500
13,585
16,500
16,500
16,500
3,173
3,000
3,000
3,000
140
-
-
-
-
604
604
100
46
-
-
-
3,331
5,453
5,453
5,500
13,602
-
-
-
7,849
8,600
8,600
9,000
262,305
221,249
221,249
222,386
262,305
221,249
221,249
222,386
288
300
300
294
150
150
150
169
438
450
450
463
28,902
-
-
-
28,902
-
-
-
29,340
450
450
463
4,287
4,000
641
641
2,147
3,000
319
368
90
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
d'
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
GENERAL GOVERNMENT
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
32519 - OTHER GENERAL GOVERNMENT (Cont.)
OPERATING EXPENSES 6,434
7,000
960
1,009
TOTAL CAPITAL PROJECTS FUND 6,434
7,000
960
1,009
52519 - OTHER GENERAL GOVERNMENT
52519-12100 - REGULAR SALARIES -
39,688
39,688
48,439
52519-12120 - OVERTIME SALARIES -
100
100
100
52519-12220 - FICA -
3,034
3,034
3,341
52519-12240 - DEFINED CONTRIBUTION PENSION -
3,979
3,979
2,831
52519-12300 - GROUP INSURANCE -
9,182
9,182
13,095
52519-12305 - LIFE INSURANCE -
125
125
153
52519-12315-EMPLOYEE ASSISTANCE PLAN -
24
24
24
52519-12400 - WORKERS COMPENSATION -
-
-
78
PERSONNEL SERVICES -
56,132
56,132
68,061
52519-53100 - PRO SVCS-GENERAL -
57,925
57,925
63,718
52519-53130 - MEDICAL SERVICES/CLAIMS -
2,412,219
2,189,167
2,046,583
52519-53130-90020 - MEDICAL SVCS-HDP CLAIM -
1,038,748
1,261,800
1,277,981
52519-53130-90021 - MEDICAL SVCS-HRA CLAIM -
79,509
79,509
87,460
52519-53132 - DENTAL SERVICES/CLAIMS -
194,257
194,257
213,683
52519-53134 - PRESCRIPTIONS -
770,393
770,393
847,432
52519-53136 - WELLNESS PROGRAM -
29,500
29,500
32,450
52519-53138 - TPA SERVICES -
197,438
197,438
217,182
52519-53154 - PRO SVC-INVESTMENT ADVISOR -
149
149
162
52519-54510 - REINSURANCE PREMIUMS -
777,192
777,192
854,912
52519-54900 - OTHER CURRENT CHARGES -
2,379
2,379
2,617
52519-54909 - BANK SERVICE CHARGES -
77
77
85
OPERATING EXPENSES -
5,559,786
5,559,786
5,644,265
TOTAL GROUP SELF-INSURANCE FUND -
5,615,918
5,615,918
5,712,326
EXPENDITURES
GENERAL GOVERNMENT
FY 2019
ACTUAL
FY 2020 FY 2021
REVISED
BUDGET PROJECTED ADOPTED
22517 - DEBT SERVICE
22517-53154 - PRO SVC-INVESTMENT ADVISOR 60 300 -
22517-54909 - BANK SERVICE CHARGES 31 200 -
91
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
d'
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
GENERAL GOVERNMENT
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
22517 - DEBT SERVICE (Cont.)
OPERATING EXPENSES
91
500
-
-
22517-77117-72118
- DEBTSVC-2016 REFUND PR
385,511
393,337
393,337
401,322
22517-77118-21101
- DEB-2016 NOTE PDHQ PRIN
321,483
328,298
328,298
335,258
22517-77120-20000
- DEBT SVC-2017 MPLOAN PR
1,307,404
1,342,089
1,342,089
1,377,594
22517-77217-72118
- DEBT-2016 ARC REFUND IN
91,464
83,558
83,558
75,492
22517-77218-21101
- DEBT SVC - 2016 NOTE INT
97,387
90,498
90,498
83,465
22517-77220-20000
- DEBTSVC-2017 MP LOAN IN
605,329
570,488
570,488
534,724
DEBT SERVICE
2,808,578
2,808,268
2,808,268
2,807,855
TOTAL DEBT SERVICE FUND
2,808,669
2,808,768
2,808,268
2,807,855
TOTAL GENERAL GOVERNMENT
3,106,747
8,653,385
8,646,845
8,744,039
",
POLICE DEPARTMENT
FISCAL YEAR 2021
Police
Chief
Sergeant
Professional
Administrative Standards
Assistant Division
Records
Supervisor
Police Captain
Administrative __________________ Police Captain Police Captain
------------------------ ----------------------------------------
Services Bureau Uniform Services Support Services Staff
Assistant
Lieutenant Lieutenant Lieutenant Rece tionist
Lieutenant p /
Records Clerk
Sergeant Sergeant Sergeant Sergeant Sergeant Sergeant Sergeant Sergeant Sergeant Sergeant
SR Division Community Training Alpha Bravo Swing Charlie Delta Cl Division Traffic
Services Recruiting Division
Officers Officers Officers Officers Officers Officers 171
Officers
Officer (1)
(4) (6) (8) ($) (8) ($) (6)
Officer (2)
Crime Analyst/
Officer Officer Officer
SRT Evidence
Swing (2) Swing (2) Custodian
K9 (1)
Police Service Aide II
(Quartermaster)
Crime Scene
Investigator/
Evidence Custodian
Officer
(2)
Officer
(Narcotics)
(2)
Police Service
Aide I
(Accreditation
Manager)
tw
CLER ONT
Choice of Champi7s.
93
�E
LERI"(ONT
Choice of Champions
94
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURE SUMMARY
POLICE DEPARTMENT
FY 2019
ACTUAL
PERSONNEL SERVICES
7,393,243
OPERATING EXPENSES
1,626,991
CAPITAL OUTLAY
944,554
DEBT SERVICE
47,261
POLICE DEPARTMENT TOTAL
10,012,049
FY 2020
FY 2021
REVISED
BUDGET
7,918,211
1,765,787
613,986
47,263
10,345,247
PROJECTED
7,918,211
1,566,829
608,711
47,263
10,141,014
ADOPTED
9,069,528
1,535,314
449,600
47,262
11,101,704
95
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
POLICE DEPARTMENT
10521 - POLICE
10521-12100 - REGULAR SALARIES
10521-12100-21026 - REG SALARIES MOBILE CRI
10521-12110 - PART-TIME SALARIES
10521-12120 - OVERTIME SALARIES
10521-12120-21026 - OVERTIME MOBILE CRIS 21
10521-12220 - FICA
10521-12220-21026 - FICA MOBILE CRISIS UNIT
10521-12240 - DEFINED CONTRIBUTION PENSION
10521-12245 - DEFINED BENEFIT PENSION
10521-12245-21026 - DEF BEN PENS MOBILE CRI
10521-12300 - GROUP INSURANCE
10521-12300-21026 - GROUP INS MOBILE CRIS 2
10521-12305 - LIFE INSURANCE
10521-12305-21026 - LIFE INS MOBILE CRIS 210
10521-12315 - EMPLOYEE ASSISTANCE PLAN
10521-12315-21026 - EAP MOBILE CRIS 21026
10521-12400 - WORKERS COMPENSATION
10521-12500 - UNEMPLOYMENT COMPENSATION
PERSONNEL SERVICES
10521-53100 - PRO SVCS-GENERAL
10521-53100-52000 - PRO SVC-ACCREDITATION-
10521-53128 - BACKGROUND INVESTIGATIONS
10521-53129 - DRUG SCREENS
10521-53130 - MEDICAL SERVICES
10521-53130-21026 - MEDICAL SVCS MOBILE CR
10521-53400 - CONTRACT SVCS-DISPATCH
10521-53401 - CONTRACT SVCS-GENERAL
10521-53401-21501 - CONT SVC-CROSSING GUA
10521-53402 - CONTRACT SVCES-CLEANING
10521-53500 - INVESTIGATIVE EXPENSES
10521-54001 - TRAVEL & PER DIEM
10521-54001-21900 - TRAVEL & PER DIEM-JUSTIC
10521-54101 - TELEPHONE
10521-54102 - INTERNET SERVICE
FY 2019
FY 2020
FY 2021
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
4,590,739
5,038,618
5,038,618
5,895,970
67,364
51,572
51,572
19,982
32,566
34,107
34,107
8,208
294,419
208,500
208,500
207,500
1,635
2,500
2,500
2,500
345,119
392,573
392,573
436,163
4,993
3,334
3,334
1,675
22,443
27,623
27,623
30,264
957,075
1,000,150
1,000,150
1,123,683
10,309
9,666
9,666
4,422
960,289
1,023,241
1,023,241
1,216,764
13,666
14,637
14,637
3,274
13,051
16,202
16,202
18,572
193
147
147
63
2,046
2,230
2,230
2,248
24
24
24
6
76,899
93,087
93,087
98,234
412
-
-
-
7,393,243
7,918,211
7,918,211
9,069,528
300
5,000
5,000
-
-
300
300
300
777
500
500
500
1,318
1,000
1,000
1,200
50,717
48,900
48,900
55,000
-
380
380
-
488,734
488,734
488,734
488,734
874
1,250
1,250
1,250
-
-
-
53,050
57,154
57,154
57,154
57,154
4,617
4,000
4,000
4,000
18,782
6,126
6,126
20,000
14,028
14,500
14,500
-
56,503
42,000
42,000
42,000
26,310
35,220
35,220
32,700
96
CITY OF CLERMONT, FLORIDA
d'
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
POLICE DEPARTMENT
REVISED
ACTUAL BUDGET
PROJECTED
ADOPTED
10521 - POLICE (Cont.)
10521-54103 - CABLE SERVICES
1,275
1,200
1,200
1,200
10521-54200 - POSTAGE & FREIGHT
2,159
2,000
2,000
1,500
10521-54200-21900 - POSTAGE & FREIGHT 21900
2,323
-
-
-
10521-54200-21903 - POST & FREIGHT DONATIO
1,185
-
-
-
10521-54300 - ELECTRIC & GAS SERVICE
76,812
80,000
80,000
75,000
10521-54301 - WATER & SEWER SERVICE
6,221
6,500
6,500
6,000
10521-54304 - SOLID WASTE DISPOSAL FEES
1,794
1,700
1,700
1,700
10521-54401 - RENTALS -BUILDINGS
852
6,000
6,000
6,500
10521-54402- RENTALS -VEHICLES
32,224
22,000
22,000
22,000
10521-54500 - COMMERCIAL INSURANCE
94,965
86,512
86,512
103,713
10521-54501 - SELF-INSUR LIAB CLAIMS
5,969
1,702
1,702
-
10521-54600 - R&M -BUILDINGS
5,877
2,000
2,000
2,000
10521-54601 - REPAIR & MAINT-VEHICLES
63,168
55,000
55,000
55,000
10521-54608 - REPAIR & MAINT-COUNTY RADIOS
11,655
14,348
14,348
14,000
10521-54614 - REPAIR & MAINT-EQUIPMENT
10,059
9,500
9,500
9,000
10521-54640 - REPAIR & MAINT-COPIERS
10,493
10,000
10,000
10,000
10521-54700 - PRINTING
2,146
2,500
2,500
2,000
10521-54802 - RECRUITING/AGENCY PROMOTION
4,096
4,000
4,000
2,000
10521-54802-21900 - RECRT/AGCY PROMO JUST
-
2,085
2,085
-
10521-54900 - OTHER CURRENT CHARGES
6,988
4,000
4,000
3,000
10521-54909 - BANK SERVICE CHARGES
3,012
3,614
3,614
4,164
10521-54912 - SECURITY/MONITORING SERVICE
600
1,300
1,300
1,300
10521-55100 - OFFICE SUPPLIES
6,044
6,000
6,000
5,000
10521-55200 - OPERATING SUPPLIES
10,719
8,000
8,000
8,000
10521-55201 - GAS & OIL
198,282
170,000
170,000
142,000
10521-55202 - TIRES & BATTERIES
25,908
18,000
18,000
18,000
10521-55203 - UNIFORMS
67,620
65,000
65,000
80,000
10521-55203-21013 - UNIFORMS -BULLETPROOF V
25,291
11,660
11,660
2,500
10521-55203-21026 - UNIFORMS MOBILE CRIS 21
4,586
-
-
-
10521-55203-21900 - UNIFORMS
-
5,862
10,000
-
10521-55204 - MINOR EQUIPMENT
45,049
52,000
52,000
50,000
10521-55204-21028 - MINOR EQPMT- UAS ACQUI
7,875
-
-
-
10521-55204-21900 - MINOR EQUIPMENT - JUSTI
8,271
9,598
9,598
-
10521-55206 - ANIMAL FOOD/VET CARE
1,616
2,000
2,000
2,500
97
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
POLICE DEPARTMENT
10521 - POLICE (Cont.)
10521-55212 - COMMUNITY RELATIONS
10521-55212-21900 - COMMUNITY RELATIONS
10521-55212-21903 - COMMUNITY RELATIONS - D
10521-55213 - EXPLORER PROGRAM
10521-55219 - SOFTWARE RENEWALS/SUPPORT
10521-55219-21900 - SOFTWARE RENEWALS/SUP
10521-55220 - SWAT OPERATING SUPPLIES
10521-55221-99003 - COVID-19 EQPT & SUPPLIE
10521-55222 - CRIME SCENE SUPPLIES
10521-55400 - SUBSCRIPTIONS & DUES
10521-55401 - TRAINING & EDUCATION
10521-55401-21900 - TRAINING & EDUCATION
10521-55401-21903 - TRAINING & EDUC DONATI
10521-55401-52000 - TRAIN & EDUC-ACCREDITA
10521-55410 - AMMUNITION & SUPPLIES
10521-56999 - RESTRICT CURRENT YR BUDGET
OPERATING EXPENSES
10521-66401 - CAPITAL EQUIPMENT
10521-66401-21029 - CAP OUT-EQPMT POLYGRAP
10521-66401-21900 - EQPT FED FORFEIT JUSTICE
10521-66401-21901 - EQPT FED FORFEIT TREASU
FY 2019
REVISED
ACTUAL BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
5,932
6,000
6,000
4,000
10,321
9,500
9,500
-
5,000
5,000
5,000
-
520
520
520
520
74,144
82,050
82,050
82,500
3,400
4,060
4,060
-
2,378
6,000
6,000
4,000
-
5,284
5,284
-
6,849
4,000
4,000
4,000
3,534
2,500
2,500
3,000
37,692
28,863
30,000
40,000
6,865
13,500
13,500
-
-
7,819
7,819
-
-
2,000
2,000
2,000
250
15,000
15,000
11,000
-
204,238
-
-
1,622,131
1,765,479
1,566,516
1,534,985
1,156
11,446
6,171
-
5,227
-
-
-
25,969
17,950
17,950
-
(13.5 OF 60) BODY WORN CAMERAS WITH ROCKET FOR PATROL & PATROL SUPPORT OFFICERS.
INCLUDES CAMERAS, BLUE TOOTH SENSORS FOR HOLSTERS, UNLIMITED STORAGE, SMART
REDACTION, TRAINING AND RETROFITTING OF UP TO 5 UNIFORMS PER CAMERA. CAMERAS
MAYBE UPGRADED AFTER 37 MONTHS ON THE FIVE YEAR PLAN.
(13 OF 60) INFRASTRUCTURE
(13.5 OF 60) STATE CONFISCATION (10521-66401-21902)
(13.5 OF 60) FED. TREASURY FORFEITURE (10521-66401-21901)
(20 OF 60) POLICE IMPACT FEE (15521-66401)
..................................................................................................................
10521-66401-21902 - EQPT-STATE CONFISCATIO - - -
50,000
50,000
50,000
98
CITY OF CLERMONT, FLORIDA
d'
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019 FY 2020
FY 2021
POLICE DEPARTMENT
REVISED
ACTUAL BUDGET PROJECTED
ADOPTED
10521 - POLICE (Cont.)
(13.5 OF 60) BODY WORN CAMERAS WITH ROCKET FOR PATROL & PATROL SUPPORT OFFICERS.
50,000
INCLUDES CAMERAS, BLUE TOOTH SENSORS FOR HOLSTERS, UNLIMITED STORAGE, SMART
REDACTION, TRAINING AND RETROFITTING OF UP TO 5 UNIFORMS PER CAMERA. CAMERAS
MAYBE UPGRADED AFTER 37 MONTHS ON THE FIVE YEAR PLAN.
(13 OF 60) INFRASTRUCTURE
(13.5 OF 60) STATE CONFISCATION (10521-66401-21902)
(13.5 OF 60) FED. TREASURY FORFEITURE (10521-66401-21901)
(20 OF 60) POLICE IMPACT FEE (15521-66401)
..................................................................................................................
10521-66404 - CAP OUT -SOFTWARE 2,716 - -
-
10521-66404-21900 - CAP OUT -SOFTWARE - 3,590 3,590
-
CAPITAL OUTLAY 35,068 32,986 27,711
100,000
TOTAL GENERAL FUND 9,050,441 9,716,676 9,512,438
10,704,513
12521 - POLICE
12521-55204 - MINOR EQUIPMENT (5 YR LIFE) 1,319 - -
-
OPERATING EXPENSES 1,319 - -
-
12521-66400 - CAP OUT -VEHICLES 171,867 224,000 224,000
222,000
(4) REPLACEMENT MARKED POLICE VEHICLES 222,000
REPLACEMENT OF VEHICLE ASSIGNED TO THE PATROLIADMINISTRTATION DIVISION THAT
HAS REACHED ITS SERVICABLE LIFE.
..................................................................................................................
12521-66401 - CAPITAL EQUIPMENT 437,975 12,500 12,500 53,600
(4) REPLACEMENT MARKED POLICE VEHICLE AEDS 5,600
REPLACEMENT OF EMERGENCY EQUIPMENT - AED FOR THE VEHICLE ASSIGNED TO THE
PATROLIADMINISTRATION DIVISION THAT HAS REACHED ITS SERVICABLE LIFE.
..................................................................................................................
(13 OF 60) BODY WORN CAMERAS WITH ROCKET FOR PATROL & PATROL SUPPORT OFFICERS. 48,000
INCLUDES CAMERAS, BLUE TOOTH SENSORS FOR HOLSTERS, UNLIMITED STORAGE, SMART
REDACTION, TRAINING AND RETROFITTING OF UP TO 5 UNIFORMS PER CAMERA. CAMERAS
MAY BE UPGRADED AFTER 37 MONTHS ON THE FIVE YEAR PLAN.
(13 OF 60) INFRASTRUCTURE
(13.5 OF 60) STATE CONFISCATION (10521-66401-21902)
(13.5 OF 60) FED. TREASURY FORFEITURE (10521-66401-21901)
(20 OF 60) POLICE IMPACT FEE (15521-66401)
..................................................................................................................
CAPITAL OUTLAY
609,842
236,500
236,500
275,600
12521-77113 - DEBT SVC-CAP LEASE EQPT PRIN
36,214
37,192
37,192
38,195
12521-77213 - DEBT SVC-CAP LEASE EQPT INTER
11,047
10,071
10,071
9,067
DEBT SERVICE
47,261
47,263
47,263
47,262
TOTAL INFRASTRUCTURE FUND
658,422
283,763
283,763
322,862
99
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
d'
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019 FY 2020
FY 2021
POLICE DEPARTMENT
REVISED
ACTUAL BUDGET PROJECTED
ADOPTED
15521 - POLICE
15521-53154 - PRO SVCES-INVESTMENT ADVISOR 204 200
209
209
15521-54909 - BANK SERVICE CHARGES 107 108
104
120
15521-55204 - MINOR EQPT (NON -CONSUMABLE 2,439 -
-
-
15521-55204-21026 - MINOR EQPT MOBILCRISIS 792 -
-
-
OPERATING EXPENSES 3,542 308
313
329
15521-66400 - CAP OUT -VEHICLES 260,007 294,500
294,500
-
15521-66401 - CAPITAL EQUIPMENT 38,481 50,000
50,000
74,000
(20 OF 60) BODY WORN CAMERAS WITH ROCKET FOR PATROL & PATROL SUPPORT OFFICERS.
74,000
INCLUDES CAMERAS, BLUE TOOTH SENSORS FOR HOLSTERS, UNLIMITED STORAGE, SMART
REDACTION, TRAINING AND RETROFITTING OF UP TO 5 UNIFORMS PER CAMERA. CAMERAS
MAYBE UPGRADED AFTER 37 MONTHS ON THE FIVE YEAR PLAN.
(13 OF 60) INFRASTRUCTURE 12521-66401
(13.5 OF 60) STATE CONFISCATION 10521-66401-21902
(13.5 OF 60) FED. TREASURY FORFEITURE 10521-66401-21901
(20 OF 60) POLICE IMPACT FEE 15521-66401
..................................................................................................................
15521-66401-21026 - CAP OUT-EQPT MOBILCRIS 1,156 -
-
-
CAPITAL OUTLAY 299,644 344,500
344,500
74,000
TOTAL POLICE IMPACT FEE FUND 303,186 344,808
344,813
74,329
TOTAL POLICE DEPARTMENT 10,012,049 10,345,247 10,141,014
11,101,704
100
Assistant Chief
Administration
Fire Captain Fire Captain
(Training) (EMS)
Professional
Standards Officer
Administrative
Assistant
Battalion Chief
(B Shift)
Lieutenant
Lieutenant
Station 1
Station 2
(2)
Engineer
Engineer
(2)
Firefighter
Firefighter
(2)
Firefighter
Firefighter
FIRE DEPARTMENT
FISCAL YEAR 2021
Fire Chief
Administrative
Assistant
Fire
Marshal
Inspector I Reviewer
FF/Fire Fire & Life
Inspector Safety Educator
Battalion Chief
(A Shift)
Lieutenant
Lieutenant
Station 1
Sta
2)
(
(2)
Engineer
Engineer
(2)
Firefighter
Firefighter
(2)
Firefighter
Firefighter
(Floater)
(Floater)
Lieutenant
Station 3 Lieutenant
3 Station 4
Engineer Engineer
(3)
Firefighter Firefighter
(2)
Firefighter
(Floater)
Lieutenant
Station 3 Lieutenant
(3) Station 4
Engineer Engineer
(3)
Firefighter Firefighter
(2)
Firefighter
(Floater)
(2)
Fire Assista nt Chief
Operations
Battalion Chief
(C Shift)
Lieutenant
Lieutenant
Station 1
Station 2
(2)
Engineer
Engineer
(2)
Firefighter
Firefighter
(2)
Firefighter
Firefighter
S
CLER ONT
Choice of Champions
Lieutenant
Sta tl on 3 Lieutenant
3 Station 4
Engineer Engineer
(3)
Firefighter Firefighter
(2)
Firef ighte r
(Floater)
101
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURE SUMMARY
FIRE DEPARTMENT
FY 2019
ACTUAL
PERSONNEL SERVICES 8,873,923
OPERATING EXPENSES 859,530
CAPITAL OUTLAY 742,003
DEBT SERVICE 68,030
FIRE DEPARTMENT TOTAL 10,543,486
FY 2020
FY 2021
REVISED
BUDGET
9,360,734
972,240
650,461
57,776
11,041,211
PROJECTED
9,360,734
899,238
612,929
57,776
10,930,677
ADOPTED
10,032,225
878,751
422,759
57,775
11,391,510
102
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FIRE DEPARTMENT
10522 - FIRE
10522-12100 -
REGULAR SALARIES
10522-12100-22013 - REGULAR SALARIES SAFER
10522-12120 -
OVERTIME SALARIES
10522-12120-22013 - OVERTIME SALARIES SAFER
10522-12220 -
FICA
10522-12220-22013 - FICA SAFER 22013
10522-12240 -
DEFINED CONTRIBUTION PENSION
10522-12245 -
DEFINED BENEFIT PENSION
10522-12245-22013 - DEF BENEFIT PEN SAFER 22
10522-12300 -
GROUP INSURANCE
10522-12300-22013 - GROUP INSURANCE SAFER
10522-12305 -
LIFE INSURANCE
10522-12305-22013 - LIFE INSURANCE SAFER 22
10522-12315 -
EMPLOYEE ASSISTANCE PLAN
10522-12315-22013 - EMP ASSISTANC PLAN SAFE
10522-12400 -
WORKERS COMPENSATION
10522-12400-22013 - WORKERS COMP SAFER 22
PERSONNEL SERVICES
10522-53100 -
PRO SVCS-GENERAL
10522-53128 -
BACKGROUND INVESTIGATIONS
10522-53129 -
DRUG SCREENS
10522-53130 -
MEDICAL SERVICES
10522-53402 -
CONTRACT SERV-CLEANING
10522-53416 -
CONTRACT SVCS-ISBA AGREEMEN
10522-54001 -
TRAVEL & PER DIEM
10522-54002 -
TRAVEL & PER DIEM -EMS
10522-54101 -
TELEPHONE
10522-54102 -
INTERNET SERVICE/AIR CARDS
10522-54200 -
POSTAGE & FREIGHT
10522-54300 -
ELECTRIC & GAS SERVICE
10522-54301 -
WATER & SEWER SERVICE
10522-54401 -
RENTALS -BUILDINGS
10522-54500 -
COMMERCIAL INSURANCE
10522-54501 -
SELF-INSUR LIAB CLAIMS
FY 2019
FY 2020
FY 2021
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
4,566,779
5,200,000
5,200,000
5,918,455
330,241
415,000
415,000
107,929
604,348
360,000
360,000
271,490
15,321
13,000
13,000
7,650
382,023
420,000
420,000
433,416
25,684
33,000
33,000
8,471
13,723
19,525
19,525
26,149
1,527,509
1,500,000
1,500,000
1,776,757
89,784
115,000
115,000
34,639
944,091
900,000
900,000
1,082,626
66,054
86,500
86,500
26,835
11,879
14,700
14,700
18,643
881
1,250
1,250
340
1,669
1,900
1,900
2,021
189
220
220
55
90,330
98,850
98,850
107,874
9,026
10,766
10,766
11,748
8,679,530
9,189,711
9,189,711
9,835,098
7,640
-
-
24,128
2,324
500
500
750
1,293
2,020
2,020
2,436
41,744
36,200
36,200
41,949
13,896
13,896
13,896
14,000
21,800
40,000
40,000
40,000
7,212
7,500
7,500
6,028
433
1,950
1,950
1,112
24,933
25,000
25,000
25,057
5,088
5,000
5,000
5,356
753
1,200
1,200
1,000
46,770
46,245
46,245
46,345
7,702
8,344
8,344
8,156
9,777
10,000
5,000
11,000
62,337
113,935
113,935
136,114
2,122
3,047
3,047
-
103
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
FIRE DEPARTMENT
10522 - FIRE (Cont.)
10522-54600 -
R&M -BUILDINGS
10522-54601 -
REPAIR & MAINT-VEHICLES
10522-54608 -
REPAIR & MAINT-COUNTY RADIOS
10522-54614 -
REPAIR & MAINT-EQUIPMENT
10522-54627 -
REPAIR & MAINT-BAY DOORS
10522-54628 -
REPAIR & MAINT-EMS EQUIPMENT
10522-54640 -
REPAIR & MAINT-COPIERS
10522-54700 -
PRINTING
10522-54900 -
OTHER CURRENT CHARGES
10522-54900-22200 - OTH CUR CHARGE RETIREM
10522-54900-22900 - OTH CURR CHARGE-DONAT
10522-54912 -
SECURITY/MONITORING SERVICE
10522-55100 -
OFFICE SUPPLIES
10522-55200 -
OPERATING SUPPLIES
10522-55201 -
GAS & OIL
10522-55202 -
TIRES & BATTERIES
10522-55203 -
UNIFORMS
10522-55204 -
MINOR EQUIPMENT
10522-55204-33116 - MINR EQPT CONF/TRENCH
10522-55205 -
SAFETY EQUIPMENT
10522-55212 -
COMMUNITY RELATIONS
10522-55213 -
EXPLORER PROGRAM
10522-55219 -
SOFTWARE RENEWALS/SUPPORT
10522-55221-99001 - EOC EQP&SUP HURR MiCHA
10522-55221-99003 - COVID-19 EQPT & SUPPLIE
10522-55400 -
SUBSCRIPTIONS & DUES
10522-55401 -
TRAINING & EDUCATION
10522-55401-22900 - TRAINING & EDUC DONATI
10522-55401-52000 - TRAIN & EDUC-ACCREDITA
10522-55403 -
TRAINING & EDUCATION EMS
10522-55409 -
LICENSES & CERTIFICATIONS
OPERATING EXPENSES
10522-66400 -
CAP OUT -VEHICLES
10522-66401 -
CAPITAL EQUIPMENT
FY 2019
ACTUAL
22,548
77,372
16,227
31,501
881
17,302
5,682
328
214
1,696
744
1,800
4,131
42,489
63,067
22,609
65,280
87,132
595
9,465
1,198
35,222
498
3,441
70,097
266
REVISED
BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
2,098
54,423
20,178
24,140
2,000
19,000
6,560
900
6,435
3,146
1,900
7,000
36,709
60,000
20,000
44,342
36,078
22,508
1,188
6,954
1,475
44,000
33,000
3,305
44,943
7,421
2,800
1,555
309
837,610 829,204
- 74,247
132,057 58,994
104
7,098
85,000
20,178
24,140
2,000
19,000
6,560
900
6,435
3,146
1,800
7,000
36,709
60,000
20,000
59,297
36,178
22,508
1,188
6,954
1,475
44,000
33,000
3,305
44,943
7,421
2,800
1,555
309
874,736
43,670
44,039
5,000
75,000
18,400
40,390
3,000
20,852
11,703
900
600
1,800
7,000
39,314
63,000
17,239
72,236
29,672
5,861
728
4,000
44,716
3,080
15,827
1,250
4,930
3,825
853,754
27,709
CITY OF CLERMONT, FLORIDA
d'
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019 FY 2020
FY 2021
FIRE DEPARTMENT
REVISED
ACTUAL BUDGET PROJECTED
ADOPTED
10522 - FIRE (Cont.)
(2) STRUT DRIVER RETROFIT KITS FOR HEAVY RESCUE
5,404
ALLOWS RESCUERS TO ATTACH LIFTING MECHANISMS TO EXISTING STRUTS TO CAPTURE,
STABILIZEAND LIFT THE OBJECT IN ONE MOTION OF TO 6,000 POUNDS.
..................................................................................................................
HIGH PRESSURE LIFT BAG KIT HEAVY RESCUE
22,305
COMBINATION OF REGULATORS, HOSES, CONTROLLERS AND HIGH PRESSURE BAGS THAT
CAN INFLATE USING AIR PRESSURE FOR LIFTING AND SPREADING LARGE, HEAVY OBJECTS.
..................................................................................................................
10522-66401-33116 - CAP-EQPT CONF/TRCH RES - 24,321 24,321
20,050
(1) TRENCH RESCUE & CONFINED SPACE PUMP
1,000
DEWATERING CAPABILITIES FOR RESCUERS
..................................................................................................................
(1) TRENCH RESCUE & CONFINED SPACE PORTABLE GAS AIR COMPRESSOR
1,850
PROVIDES AN AIR SOURCE TO RESCUERS WHEN OPERATING AT A DISTANCE FROM FIRE
APPARATUS. ALSO USED TO SUPPORT PNEUMATIC INCLUDING MECHANICS TOOLS, LIFTING
BAGS, STRUTS AND LIQUID REMOVAL PUMPS.
..................................................................................................................
(2) TRENCH RESCUE & CONFINED SPACE PORTABLE ELECTRIC GENERATORS
2,400
HONDA 2200 WATT PORTABLE GENERATOR
..................................................................................................................
(1) TRENCH BOX ACCESSORIES
3,000
ACCESSORIES RELATED TO THE TRENCH PURCHASED IN 2020
..................................................................................................................
TRENCH RESCUE & CONFINED SPACE MISCELLANEOUS TRENCH TOOLS
3,000
TOOLS, LIGHTING ELECTRICAL SUPPLY, EARTH MOVING, STORAGE CONTAINERS
..................................................................................................................
(1) TRENCH RESCUE & CONFINED SPACE MULTI -GAS AIR MONITOR FOR TOWER 103
4,200
CURRENTLY OUR DEPARTMENT ONLY HAS ONE OF THESE MONITORS. WHEN THIS
MONITOR GOES OUT OF SERVICE OR IS UNAVAILABLE, WE ARE UNABLE TO AIR MONITOR
FOR TOXIC CHEMICALS. HAVING THE SECOND MONITOR WOULD ALLOW FOR MORE
VERSATILITYAND DEPENDABILITY WITHIN OUR RESPONSE AREA.
..................................................................................................................
(4) TRENCH RESCUE & CONFINED SPACE POP UP CANOPIES
4,600
10 X 15 ALUMINUM SHELTER
..................................................................................................................
CAPITAL OUTLAY 132,057 157,562 112,030
47,759
10522-77221-22800 - DEBT SVC-2015 INTERFUND 10,255 - -
-
DEBT SERVICE 10,255 - -
-
TOTAL GENERAL FUND 9,659,452 10,176,477 10,176,477
10,736,611
12522 - FIRE
12522-55204 - MINOR EQUIPMENT (5 YR LIFE) 920 - -
-
12522-56999 - RESTRICT CURRENT YR BUDGET - 81,140 -
-
OPERATING EXPENSES 920 81,140 -
-
12522-66401 - CAPITAL EQUIPMENT 519,069 22,434 22,434
375,000
(50) REPLACEMENT SCBA AIR PACKS AND ACCESSORIES 375,000
REPLACE AIR PACKS PURCHASED IN 2006.
..................................................................................................................
105
CITY OF CLERMONT, FLORIDA d'
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
FIRE DEPARTMENT
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
12522 - FIRE (Cont.)
12522-66900-22101 - CAP OUT -PRO SVC FS#2 22
-
150,000
150,000
-
CAPITAL OUTLAY
519,069
172,434
172,434
375,000
12522-77113 - DEBT SVC-CAP LEASE EQPT PRIN
44,270
45,465
45,465
46,691
12522-77213 - DEBT SVC-CAP LEASE EQPT INTER
13,505
12,311
12,311
11,084
DEBT SERVICE
57,775
57,776
57,776
57,775
TOTAL INFRASTRUCTURE FUND
577,764
311,350
230,210
432,775
16522 - FIRE
16522-53154 - PRO SVC-INVESTMENT ADVISOR
237
240
243
243
16522-54909 - BANK SERVICE CHARGES
124
120
121
139
OPERATING EXPENSES
361
360
364
382
16522-66201 - CAP OUT -BUILDINGS
-
29,000
29,000
-
16522-66201-22100 - CAP BLDG-FIRE BOAT LIFT-
-
179,000
179,000
-
16522-66400 - CAP OUT -VEHICLES
-
34,396
34,396
-
16522-66401 - CAPITAL EQUIPMENT
73,404
30,065
30,065
-
16522-66404 - CAP OUT -SOFTWARE
-
40,408
48,408
-
16522-66900-22100 - PRO SVC-FDBOATHOUSE LI
11,333
7,596
7,596
-
16522-66900-22101 - CAPOUT-PROSVC NEW FS#
6,140
-
-
-
CAPITAL OUTLAY
90,877
320,465
328,465
-
TOTAL FIRE IMPACT FEE FUND
91,238
320,825
328,829
382
106
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
FIRE DEPARTMENT
10529 - FIRE INSPECTIONS
10529-12100 -
REGULAR SALARIES
10529-12120 -
OVERTIME SALARIES
10529-12220 -
FICA
10529-12240 -
DEFINED CONTRIBUTION PENSION
10529-12245 -
DEFINED BENEFIT PENSION
10529-12300 -
GROUP INSURANCE
10529-12305 -
LIFE INSURANCE
10529-12315 -
EMPLOYEE ASSISTANCE PLAN
10529-12400 -
WORKERS COMPENSATION
10529-12500 -
UNEMPLOYMENT COMPENSATION
PERSONNEL SERVICES
10529-53100 -
PRO SVC-GENERAL
10529-53128 -
BACKGROUND INVESTIGATIONS
10529-53129 -
DRUG SCREENS
10529-53130 -
MEDICAL SERVICES
10529-54001 -
TRAVEL & PER DIEM
10529-54101 -
TELEPHONE
10529-54102 -
INTERNET SERVICE
10529-54200 -
POSTAGE & FREIGHT
10529-54500 -
COMMERCIAL INSURANCE
10529-54700 -
PRINTING
10529-55100 -
OFFICE SUPPLIES
10529-55201 -
GAS & OIL
10529-55202 -
TIRES & BATTERIES
10529-55203 -
UNIFORMS
10529-55204 -
MINOR EQUIPMENT
10529-55219 -
SOFTWARE RENEWALS/SUPPORT
10529-55400 -
SUBSCRIPTIONS & DUES
10529-55401 -
TRAINING & EDUCATION
10529-56999 -
RESTRICT CURRENT YR BUDGET
OPERATING EXPENSES
TOTAL GENERAL FUND
FY 2019
REVISED
ACTUAL BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
144,289
120,000
120,000
136,021
1,694
2,400
2,400
2,153
10,756
9,355
9,355
9,675
6,878
9,430
9,430
12,622
135
-
-
-
27,310
27,320
27,320
33,893
413
377
377
428
65
55
55
58
2,060
2,086
2,086
2,277
794
-
-
-
194,393
171,023
171,023
197,127
-
-
-
780
-
36
36
-
-
38
38
-
-
75
75
-
1,513
2,657
2,657
800
820
1,500
1,500
3,800
580
1,300
1,300
1,500
150
50
50
100
1,160
1,746
1,746
2,105
59
811
811
150
803
1,200
1,200
1,200
9,951
5,000
5,000
6,000
-
1,000
1,000
1,000
330
1,650
1,650
1,375
2,811
3,000
3,000
1,625
54
2,750
2,750
1,930
1,025
425
425
450
1,383
900
900
1,800
-
37,398
-
-
20,638
61,536
24,138
24,615
215,031
232,559
195,161
221,742
107
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
TOTAL FIRE DEPARTMENT 10,543,486 11,041,211 10,930,677 11,391,510
108
BUILDING SERVICES DEPARTMENT
FISCAL YEAR 2021
S
CLER ONT
Choice of Champions
109
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURE SUMMARY
BUILDING SERVICES FY 2019
ACTUAL
PERSONNEL SERVICES 746,414
OPERATING EXPENSES 425,467
CAPITAL OUTLAY 5,983
BUILDING SERVICES TOTAL 1,177,864
FY 2020
REVISED
BUDGET PROJECTED
962,406 955,869
547,071 545,599
32,106 28,000
1,541,583 1,529,468
FY 2021
ADOPTED
1,178,882
528,135
1,707,017
110
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
BUILDING SERVICES
11524 - BUILDING SERVICES
11524-12100 -
REGULAR SALARIES
11524-12110 -
PART TIME SALARIES
11524-12120 -
OVERTIME SALARIES
11524-12140 -
TEMPORARY SALARIES
11524-12220 -
FICA
11524-12240 -
DEFINED CONTRIBUTION PENSION
11524-12300 -
GROUP INSURANCE
11524-12305 -
LIFE INSURANCE
11524-12315 -
EMPLOYEE ASSISTANCE PLAN
11524-12400 -
WORKERS COMPENSATION
PERSONNEL SERVICES
11524-53100 -
PRO SVC-GENERAL
11524-53128 -
BACKGROUND INVESTIGATIONS
11524-53129 -
DRUG SCREENS
11524-53152 -
PRO SVCS-COMPUTER CONSULTAN
11524-53154 -
PRO SVC-INVESTMENT ADVISOR
11524-53186 -
PRO SVCS-DOCUMENT IMAGING
11524-53191 -
PRO SVCES-BUILDING SERVICES
11524-54001 -
TRAVEL & PER DIEM
11524-54101 -
TELEPHONE
11524-54200 -
POSTAGE & FREIGHT
11524-54500 -
COMMERCIAL INSURANCE
11524-54501 -
SELF-INSUR LIAB CLAIMS-BUILDIN
11524-54601 -
REPAIR & MAINT-VEHICLES
11524-54621 -
REPAIR & MAINT-CITY HALL
11524-54640 -
REPAIR & MAINT-COPIERS
11524-54700 -
PRINTING
11524-54900 -
OTHER CURRENT CHARGES
11524-54906 -
ADMINISTRATIVE SERVICES
11524-54909 -
BANK SERVICE CHARGES
11524-55100 -
OFFICE SUPPLIES
11524-55200 -
OPERATING SUPPLIES
11524-55201 -
GAS & OIL
11524-55202 -
TIRES & BATTERIES
FY 2019
FY 2020
FY 2021
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
535,844
684,913
657,731
790,804
4,527
14,707
23,905
41,592
1,021
1,200
4,526
1,200
-
-
16,011
16,011
39,779
49,584
49,429
59,686
42,505
67,556
59,615
63,615
117,191
138,219
137,985
198,363
1,645
2,124
2,022
2,491
236
298
277
353
3,666
3,805
4,368
4,767
746,414
962,406
955,869
1,178,882
-
3,320
-
-
199
200
200
200
-
525
-
-
-
5,194
8,500
8,500
340
325
348
375
-
12,643
12,643
-
275,998
321,680
315,000
285,000
2,589
5,100
1,800
5,000
4,096
4,000
5,000
5,000
15
100
100
100
3,152
3,484
8,452
10,194
463
-
-
-
335
1,000
1,000
1,000
-
2,000
-
-
-
7,000
1,500
1,500
54
500
500
500
-
200
390
-
97,038
116,015
123,379
153,467
178
170
173
199
1,226
1,000
1,000
1,000
409
5,500
1,000
1,000
5,045
5,000
5,000
5,000
570
100
550
100
111
CITY OF CLERMONT, FLORIDA d'
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
BUILDING SERVICES
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
i1S24 - BUILDING SERVICES (Cont.)
11524-55203 - UNIFORMS
1,130
2,100
1,800
1,800
11524-55204 - MINOR EQUIPMENT
4,466
2,500
5,900
3,000
11524-55209 - SAFETY SHOES
-
400
300
500
11524-55219 - SOFTWARE RENEWALS/SUPPORT
23,854
35,000
29,700
29,700
11524-55400 - SUBSCRIPTIONS & DUES
1,085
4,515
5,000
5,000
11524-55401 - TRAINING & EDUCATION
3,228
7,500
16,364
10,000
OPERATING EXPENSES
425,467
547,071
545,599
528,135
11524-66400 - CAP OUT -VEHICLES
-
28,800
28,000
-
11524-66401 - CAPITAL EQUIPMENT
5,983
3,306
-
-
CAPITAL OUTLAY
5,983
32,106
28,000
-
TOTAL BUILDING SERVICES FUND
1,177,864
1,541,583
1,529,468
1,707,017
`sm
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURE SUMMARY
ECONOMIC DEVELOPMENT
FY 2019
ACTUAL
OPERATING EXPENSES -
CAPITAL OUTLAY 3,079,925
ECONOMIC DEVELOPMENT TOTAL 3,079,925
FY 2020
REVISED
BUDGET PROJECTED
- 1,000
6,695,300 3,595,819
6,695,300 3,596,819
FY 2021
ADOPTED
3,099,300
3,099,300
113
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
ECONOMIC DEVELOPMENT
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
32559 - ECONOMIC DEVELOPMENT
32559-54501-95111
- SELF -INS LIAB CLM BT RAM
-
-
1,000
-
OPERATING EXPENSES
-
-
1,000
-
32559-66300-38110
- CAP OUT-OTH IMP VICT PT
4,271
-
-
-
32559-66300-95108
- CAP OUT -CITY LIMIT SIGNS
399,929
-
-
-
32559-66300-95113
- CAP-OTH IMP DT WTRFNTC
87,807
3,360,000
3,000,000
1,234,000
32559-66301-95109
- CAP OUT -LEGACY LOOP TRL
286
500,000
-
500,000
32559-66301-95111
- CAP OUT -BOAT RAMP RELO
1,997,916
1,250,000
481,960
-
32559-66408-95114
- CAP OUT - PUBLIC WI-FI -
159,737
525,300
-
525,300
32559-66900-38110
- CAP OUT -PRO SVC VICT PT
7,310
-
252
-
32559-66900-95108
- CAP -PRO SV CITY LMT SIGN
14,865
-
-
-
32559-66900-95109
- CAP -PRO LEGACY LOOP TRS
-
300,000
-
300,000
32559-66900-95111
- CAP -PRO S BOAT RMP RELO
151,099
120,000
13,607
-
32559-66900-95113
- CAP -PRO DT WTRFRONT CO
215,780
640,000
100,000
540,000
32559-66900-95114
- CAP OUT - PUBLIC WI-FI -
40,925
-
-
-
CAPITAL OUTLAY
3,079,925
6,695,300
3,595,819
3,099,300
TOTAL CAPITAL PROJECTS FUND
3,079,925
6,695,300
3,596,819
3,099,300
ISE]
Arts & Events
Manager
Lead Stage ]Front of House
Technician Manager (PT)
ar s
Stage Recreation
Technician Attendant
PARKS & RECREATION DEPARTMENT
FISCAL YEAR 2021
Parks & Recreation
Director
Administrative
Assistant
S
CLER ONT
Choice of Champions
Program I I Facility Program
Manager Manager Manager
Operations
Chief
I I
Parks &
Parks &
Staff Assistant
Recreation
Recreation
Administrative
Specialist
Specialist
Assistant
Parks &
Maintenance
Worker II
Parks &
Lead Lifeguard
aiE
Receptionist
(3)
Attendant(PT)
(PT) (2)
Parks &
Lead Park
Recreation
Parks&
Park Ranger
Ranger
Supervisor
Recreation
Attendant
Parks & (PT) (6)
Recreation
Park Ranger
Lifeguard
Attendant
(PT) (5)
(PT) (6)
PT 7
Head Swim
Lead Swim
Coach
Instructor
(PT)
(PT)
Assistant Swim
Coach
Swim Instructor
(PT) (7)
(PT)
115
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURE SUMMARY
PARKS & RECREATION
FY 2019
ACTUAL
PERSONNEL SERVICES
1,395,652
OPERATING EXPENSES
1,526,901
CAPITAL OUTLAY
264,353
GRANTS & AIDS
44,000
PARKS & RECREATION TOTAL
3,230,906
FY 2020
FY 2021
REVISED
BUDGET
1,589,556
1,763,934
267,749
25,000
3,646,239
PROJECTED
1,589,556
1,388,462
336,507
25,000
3,339,525
ADOPTED
1,745,413
1,387,854
97,840
-
3,231,107
116
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
PARKS & RECREATION
REVISED
ACTUAL
BUDGET
PROJECTED
10571 - COOPER MEMORIAL LIBRARY
10571-54900 - OTHER CURRENT CHARGES
76,920
76,920
76,920
OPERATING EXPENSES
76,920
76,920
76,920
TOTAL GENERAL FUND
76,920
76,920
76,920
FY 2021
ADOPTED
Ifin
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
PARKS & RECREATION
10572 - PARKS & RECREATION
10572-12100 - REGULAR SALARIES
10572-12110 - PART-TIME SALARIES
10572-12120 - OVERTIME SALARIES
10572-12140 - TEMPORARY SALARIES
10572-12220 - FICA
10572-12240 - DEFINED CONTRIBUTION PENSION
10572-12300 - GROUP INSURANCE
10572-12305 - LIFE INSURANCE
10572-12315 - EMPLOYEE ASSISTANCE PLAN
10572-12400 - WORKERS COMPENSATION
PERSONNEL SERVICES
10572-53128 - BACKGROUND INVESTIGATIONS
10572-53129 - DRUG SCREENS
10572-53130 - MEDICAL SERVICES
10572-53401 - CONTRACT SVCS-GENERAL
10572-53403 - CONTRACT SVCS-MOWING
10572-53404 - CONTRACT SVCS-PEST CONT
10572-54001 - TRAVEL & PER DIEM
10572-54101 - TELEPHONE
10572-54102-72121 - INTERNET SVC KEHLOR 721
10572-54500 - COMMERCIAL INSURANCE
10572-54501 - SELF-INSUR LIAB CLAIMS
10572-54601 - REPAIR & MAINT-VEHICLES
10572-54606 - R&M -GROUNDS
10572-54606-72109 - R&M -GROUNDS -SPLASH 72
10572-54607 - REPAIR & MAINT-SOD
10572-54614 - REPAIR & MAINT-EQUIPMENT
10572-54614-72109 - REPAIR & MAINT-EQUIPMEN
10572-54700 - PRINTING
10572-54800 - ADVERTISING
10572-54916 - INSTRUCTOR FEES
10572-54924 - CREDIT CARD PROCESSING FEES
10572-55100 - OFFICE SUPPLIES
10572-55200 - OPERATING SUPPLIES
FY 2019
FY 2020
FY 2021
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
231,850
268,136
268,136
304,280
6,463
82,915
82,915
68,221
-
2,875
2,875
4,625
10,806
26,750
26,750
57,514
18,415
26,917
26,917
31,804
17,470
27,064
27,064
28,475
45,433
40,452
40,452
55,335
719
809
809
925
156
121
121
145
3,121
3,239
3,239
4,059
334,434
479,278
479,278
555,383
796
3,780
3,780
3,780
260
1,007
1,007
1,537
525
2,600
2,600
2,900
102
-
-
-
219,815
223,516
223,516
223,516
4
-
-
-
121
841
841
150
311
3,384
3,384
2,844
-
-
-
900
2,557
5,779
5,779
6,969
1,473
-
-
-
-
1,700
1,700
1,700
46,174
36,000
36,000
52,000
42
-
-
-
2,432
4,000
4,000
4,000
4,607
16,824
16,824
15,824
161
-
-
-
1,955
3,700
3,700
2,100
440
1,850
1,850
250
1,857
6,000
6,000
6,000
299
1,509
1,509
3,000
1,502
1,010
1,010
1,260
524
1,550
1,550
1,450
118
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
d'
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
PARKS & RECREATION
REVISED
ACTUAL BUDGET
PROJECTED
ADOPTED
10572 - PARKS & RECREATION (Cont.)
10572-55201 - GAS & OIL
505
5,700
5,700
5,700
10572-55202 - TIRES & BATTERIES
599
450
450
750
10572-55203 - UNIFORMS
1,303
2,856
2,856
2,856
10572-55204 - MINOR EQUIPMENT
2,129
1,648
1,648
2,050
10572-55205 - SAFETY EQUIPMENT
309
1,150
1,150
1,750
10572-55209 - SAFETY SHOES
-
300
300
300
10572-55217 - RECREATION PROGRAMS
15,866
20,150
20,150
15,150
10572-55217-72200 - SENIOR PROGRAMS
8,690
-
-
-
10572-55219 - SOFTWARE RENEWALS/SUPPORT
10
670
670
1,422
10572-55221-99003 - COVID-19 EQPT & SUPPLIE
-
3,851
3,851
-
10572-55225 - SENIOR PROGRAMS
-
2,000
2,000
3,500
10572-55229 - OPERATING SOFTWARE
330
-
-
-
10572-55400 - SUBSCRIPTIONS & DUES
603
520
520
320
10572-55401 - TRAINING & EDUCATION
3,291
2,050
2,050
2,000
10572-56999 - RESTRICT CURRENT YR BUDGET
-
23,883
-
-
OPERATING EXPENSES
319,590
380,278
356,395
365,978
10572-66301-72123 - CAP OUT-REC LK HIAW DIS
544
-
-
-
10572-66401 - CAPITAL EQUIPMENT
1,037
-
-
-
10572-66900 - CAP OUT -PRO SVC
-
-
70,495
-
10572-66900-38119 - CAPOUT-PROSVC CSX FL C
4,870
-
-
-
CAPITAL OUTLAY
6,451
-
70,495
-
TOTAL GENERAL FUND
660,475
859,556
906,168
921,361
14572 - PARKS & RECREATION
14572-56999 - RESTRICT CURRENT YR BUDGET
-
88,328
-
-
OPERATING EXPENSES
_
88,328
14572-66301 - CAP OUT -RECREATION
-
21,000
21,000
-
14572-66401 - CAPITAL EQUIPMENT
-
2,500
2,500
-
14572-66408 - CAP OUT -IT FIBER OPTIC
-
3,600
3,600
-
CAPITAL OUTLAY
-
27,100
27,100
-
TOTAL REC IMPACT FEE FUND
-
115,428
27,100
-
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
PARKS & RECREATION
10574 - EVENTS
10574-12100 -
REGULAR SALARIES
10574-12110 -
PART TIME SALARIES
10574-12120 -
OVERTIME SALARIES
10574-12220 -
FICA
10574-12240 -
DEFINED CONTRIBUTION PENSION
10574-12300 -
GROUP INSURANCE
10574-12305 -
LIFE INSURANCE
10574-12315 -
EMPLOYEE ASSISTANCE PLAN
10574-12400 -
WORKERS COMPENSATION
PERSONNEL
SERVICES
10574-53100 -
PRO SVC-GENERAL
10574-53128 -
BACKGROUND INVESTIGATIONS
10574-53129 -
DRUG SCREENS
10574-53130 -
MEDICAL SERVICES
10574-53401 -
CONTRACT SVCS-GENERAL
10574-53401-72109 - CONTRACT SVC-GENL SPLS
10574-54001 -
TRAVEL & PER DIEM
10574-54101 -
TELEPHONE
10574-54200 -
POSTAGE & FREIGHT
10574-54301 -
WATER & SEWER SERVICE
10574-54500 -
COMMERCIAL INSURANCE
10574-54501 -
SELF-INSUR LIAB CLAIMS
10574-54600 -
REPAIR & MAINT-BUILDINGS
10574-54601 -
REPAIR & MAINT-VEHICLES
10574-54614 -
REPAIR & MAINT-EQUIPMENT
10574-54614-19100 - R&M -EQUIP CITY CENTER 1
10574-54614-72109 - R&M -EQUIP SPLASH PARK 7
10574-54614-74901 - R&M-EQPT PARK RANGER 7
10574-54640 -
REPAIR & MAINT-COPIERS
10574-54700 -
PRINTING
10574-54800 -
ADVERTISING
10574-54801 -
PROMOTION
10574-54810 -
SPECIAL EVENTS
10574-54810-74000 - EVENTS -LIGHT UP CLERMO
FY 2019
REVISED
ACTUAL BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
127,566
120,842
120,842
131,583
77,673
98,722
98,722
100,434
3,299
750
750
750
15,198
15,989
15,989
16,684
9,910
12,159
12,159
13,233
42,598
37,276
37,276
41,004
367
381
381
414
286
73
73
73
3,701
3,844
3,844
4,814
280,599
290,036
290,036
308,989
2,500
-
-
-
907
1,638
1,638
1,638
657
1,200
1,200
1,200
1,353
1,000
1,000
1,000
102
34
34
-
5,750
5,400
5,400
5,400
2,984
3,667
3,667
550
5,419
2,503
2,503
1,260
50
50
50
100
3,362
4,500
4,500
4,500
745
6,432
6,432
7,758
475
-
-
-
85
1,000
1,000
1,000
4,463
1,516
1,516
1,000
140
-
-
-
618
1,500
1,500
1,500
960
4,900
4,900
4,900
632
-
-
-
1,139
1,200
1,200
1,200
668
3,300
3,300
2,000
895
750
750
750
2,551
4,500
4,500
2,500
6,054
12,750
12,750
6,500
33,790
35,000
35,000
35,000
120
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
PARKS & RECREATION
10574 - EVENTS (Cont.)
10574-54810-74001 - EVENTS-4TH OFJULY
10574-54810-74003 - EVENTS -NATIONAL NGHT O
10574-54810-74005 - EVENTS -MOVIE SERIES 740
10574-54810-74006 - EVENTS -CAMPING 74006
10574-54810-74007 - EVENTS -CYCLE & SEEK 740
10574-54900 - OTHER CURRENT CHARGES
10574-54909 - BANK SERVICE CHARGES
10574-54924 - CREDIT CARD PROCESSING FEES
10574-55100 - OFFICE SUPPLIES
10574-55200 - OPERATING SUPPLIES
10574-55200-19100 - OP SUPPLIES -CITY CENTER
10574-55200-72109 - OP SUPPLIES -SPLASH PRK
10574-55200-74901 - OP SUPPLIES -PARK RANGE
10574-55201 - GAS & OIL
10574-55201-74901 - GAS & OIL - PARK RANGER
10574-55202 - TIRES & BATTERIES
10574-55203 - UNIFORMS
10574-55203-19100 - UNIFORMS - CITY CENTER
10574-55203-72109 - UNIFORMS - SPLASH PARK
10574-55203-74901 - UNIFORMS - PARK RANGER
10574-55204 - MINOR EQUIPMENT
10574-55204-19100 - MINOR EQUIP -CITY CENTER
10574-55204-72109 - MINOR EQUIP -SPLASH PAR
10574-55204-72903 - MINOR EQPT-HIGHLANDER
10574-55204-74901 - MINOR EQUIP -PARK RANGE
10574-55209 - SAFETY SHOES
10574-55219 - SOFTWARE RENEWALS/SUPPORT
10574-55221-99003 - COVID-19 EQPT & SUPPLIE
10574-55400 - SUBSCRIPTIONS & DUES
10574-55401 - TRAINING & EDUCATION
10574-56999 - RESTRICT CURRENT YR BUDGET
OPERATING EXPENSES
10574-66300 - CAP OUT -OTHER IMPROVEMENT
10574-66401-19100 - CAPITAL EQ CCC 19100
FY 2019
ACTUAL
31,614
6,980
3,541
13,099
475
100
3,012
2,472
1,741
845
61
1,748
114
990
6,195
750
206
69
601
724
2,451
78
1,926
631
3,586
1,256
2,614
REVISED
BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
25,000
6,400
4,000
11,319
2,200
3,000
2,250
250
2,062
1,000
700
500
250
1,080
4,000
1,013
1,200
100
4,349
1,055
1,760
2,625
27,515
164,177 196,468
22,200 -
- 1,737
25,000
6,400
4,000
11,319
2,200
3,000
2,250
250
2,062
1,000
700
500
250
1,080
4,000
2,750
1,200
100
4,349
1,055
1,760
2,625
170,690
25,000
4,000
11,000
1,200
4,164
2,500
2,250
1,930
250
2,062
1,000
700
500
300
1,080
4,000
3,250
1,200
6,105
200
4,035
1,760
2,350
160,592
1,000
`PAI
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
d'
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019 FY 2020
FY 2021
PARKS & RECREATION
REVISED
ACTUAL BUDGET PROJECTED
ADOPTED
10574 - EVENTS (Cont.)
(1) NEW DESKTOP PC FOR EXPANDED FRONT DESK/RECEPTION AREA AT CLERMONT CITY CENTER
1,000
REDESIGN OF THE RECEPTION DESK, A SECOND COMPUTER AND WORK STATION AT THE
FRONT DESK FOR PART TIME STAFF WHO ARE BROUGHT IN TO ASSIST WITH EVENTS AND
ADMINISTRATIVE DUTIES.
..................................................................................................................
CAPITAL OUTLAY 22,200 1,737
-
1,000
10574-88201 - CONTRIBUTIONS EXPENSE-GENER 44,000 25,000
25,000
-
GRANTS & AIDS 44,000 25,000
25,000
-
TOTAL GENERAL FUND 510,976 513,241
485,726
470,581
12574 - EVENTS
12574-66300 - CAP OUT -OTHER IMPROVEMENT 72,178 -
-
-
CAPITAL OUTLAY 72,178
TOTAL INFRASTRUCTURE FUND 72,178 -
-
-
14574 - EVENTS
14574-66401 - CAP OUT -EQUIPMENT - 83,000
83,000
-
CAPITAL OUTLAY - 83,000
83,000
-
TOTAL REC IMPACT FEE FUND - 83,000
83,000
-
122
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
PARKS & RECREATION
10575 - ARTS & RECREATION CENTER
10575-12100 - REGULAR SALARIES
10575-12110 - PART TIME SALARIES
10575-12120 - OVERTIME SALARIES
10575-12140 - TEMPORARY SALARIES
10575-12220 - FICA
10575-12240 - DEFINED CONTRIBUTION PENSION
10575-12300 - GROUP INSURANCE
10575-12305 - LIFE INSURANCE
10575-12315 - EMPLOYEE ASSISTANCE PLAN
10575-12400 - WORKERS COMPENSATION
PERSONNEL SERVICES
10575-53128 - BACKGROUND INVESTIGATIONS
10575-53129 - DRUG SCREENS
10575-53130 - MEDICAL SERVICES
10575-53401 - CONTRACT SVCS-GENERAL
10575-53402 - CONTRACT SVCS-CLEANING
10575-53403 - CONTRACT SVCS-MOWING
10575-53404 - CONTRACT SVCS-PEST CONT
10575-54001 - TRAVEL & PER DIEM
10575-54101 - TELEPHONE
10575-54102 - INTERNET SERVICE
10575-54200 - POSTAGE & FREIGHT
10575-54300 - ELECTRIC & GAS SERVICE
10575-54301 - WATER & SEWER SERVICE
10575-54304 - SOLID WASTE DISPOSAL FEES
10575-54400- RENTALS -EQUIPMENT
10575-54500 - COMMERCIAL INSURANCE
10575-54501 - SELF-INSUR LIAB CLAIMS
10575-54600 - R&M -BUILDINGS
10575-54601 - REPAIR & MAINT-VEHICLES
10575-54606 - R&M -GROUNDS
10575-54607 - REPAIR & MAINT-SOD
10575-54614 - REPAIR & MAINT-EQUIPMENT
10575-54629 - REPAIR & MAINT-POOL
FY 2019
REVISED
ACTUAL BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
301,839
305,703
305,703
323,110
109,028
124,645
124,645
129,912
608
3,500
3,500
3,500
26,434
1,164
1,164
-
32,181
35,131
35,131
32,949
22,457
30,920
30,920
30,514
86,790
83,653
83,653
94,611
877
963
963
1,018
480
194
194
194
4,436
4,607
4,607
5,773
585,129
590,480
590,480
621,581
2,085
600
600
600
590
600
600
600
1,581
600
600
600
15,770
15,350
15,350
16,255
114,256
115,287
115,287
115,257
35,578
40,000
40,000
48,804
1,570
2,500
2,500
2,900
98
750
750
250
2,282
5,300
5,300
5,576
7,034
5,500
5,500
4,500
170
500
500
500
75,384
68,000
68,000
72,000
10,396
14,000
14,000
14,000
4,816
4,250
4,250
5,250
173
2,000
2,000
2,000
24,370
12,455
12,455
15,022
18,344
-
-
-
114,679
14,000
14,000
20,000
241
750
750
750
1,399
6,000
6,000
7,200
-
500
500
500
16,881
27,100
27,100
34,800
2,561
4,500
4,500
4,500
123
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
PARKS & RECREATION
10575 - ARTS & RECREATION CENTER (Cont.)
10575-54630 -
REPAIR & MAINT-OTHER
10575-54640 -
REPAIR & MAINT-COPIERS
10575-54700 -
PRINTING
10575-54800 -
ADVERTISING
10575-54900 -
OTHER CURRENT CHARGES
10575-54909 -
BANK SERVICE CHARGES
10575-54912 -
SECURITY/MONITORING SERVICE
10575-54916 -
INSTRUCTOR FEES - ARC
10575-54924 -
CREDIT CARD PROCESSING FEES
10575-54925 -
ARC-NON-CPAC PERFORMER FEES
10575-55100 -
OFFICE SUPPLIES
10575-55200 -
OPERATING SUPPLIES
10575-55201 -
GAS & OIL
10575-55202 -
TIRES & BATTERIES
10575-55203 -
UNIFORMS
10575-55204 -
MINOR EQUIPMENT
10575-55205 -
SAFETY EQUIPMENT
10575-55209 -
SAFETY SHOES
10575-55219 -
SOFTWARE RENEWALS/SUPPORT
10575-55400 -
SUBSCRIPTIONS & DUES
10575-55401 -
TRAINING & EDUCATION
10575-56999 -
RESTRICT CURRENT YR BUDGET
OPERATING EXPENSES
10575-66300 -
CAP OUT -OTHER IMPROVEMENT
10575-66401 -
CAPITAL EQUIPMENT
10575-66404 -
CAP OUT -SOFTWARE
10575-66900 -
CAP OUT -PRO SVC
CAPITAL
OUTLAY
TOTAL GENERAL FUND
12575 - ARTS & RECREATION CENTER
12575-56999 - RESTRICT CURRENT YR BUDGET
OPERATING EXPENSES
12575-66300 - CAP OUT -OTHER IMPROVEMENT
FY 2019
REVISED
ACTUAL BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
-
1,500
1,500
3,000
4,722
2,300
2,300
2,300
517
1,500
1,500
1,500
880
2,000
2,000
1,500
330
500
500
500
3,012
3,614
3,614
4,164
1,465
4,445
4,445
5,345
56,154
32,000
32,000
36,000
3,398
2,000
2,000
2,500
849
-
-
-
1,610
2,200
2,200
2,200
8,654
12,382
12,382
16,000
352
900
900
900
-
500
500
500
806
1,500
1,500
1,500
36,172
16,300
16,300
16,050
-
550
550
550
454
600
600
700
746
2,106
2,106
2,906
1,020
1,100
1,100
700
4,090
5,400
5,400
3,384
-
20,145
-
-
575,490
454,084
433,939
474,063
600
17,118
17,118
-
17,664
-
-
-
-
12,067
12,067
-
2,500
-
-
-
20,764
29,185
29,185
-
1,181,383
1,073,749
1,053,604
1,095,644
-
165,342
-
-
-
165,342
-
-
32,736
23,658
23,658
-
124
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019 FY 2020
PARKS & RECREATION
REVISED
ACTUAL
BUDGET PROJECTED
12575 - ARTS & RECREATION CENTER (Cont.)
12575-66401 - CAPITAL EQUIPMENT 102,168
-
-
12575-66900 - CAP OUT -PRO SVC 2,017
-
-
CAPITAL OUTLAY 136,921
23,658
23,658
TOTAL INFRASTRUCTURE FUND 136,921
189,000
23,658
14575 - ARTS & RECREATION CENTER
14575-56999 - RESTRICT CURRENT YR BUDGET -
2,000
-
OPERATING EXPENSES -
2,000
-
14575-66201 - CAP OUT -BUILDINGS -
60,000
60,000
UNFUNDED PORTION OF CONSTRUCTION OF 40'X40' METAL STORAGE BUILDING
AT ARC BASED
ON REVISED COST ESTIMATE (PORTION FUNDED FY 2019 TO BE ROLLED TO
FY 2020
METAL 40X40 ARCHITECTURALLY SIMILAR TO THE MAIN BUILDING.
TO PROVIDE ADDITIONAL
STORAGE FOR CHAIRS, TABLES, POOL EQUIPMENT, GA TOR AND MAINTENANCE EQUIPMENT.
165,000 (DESIGN 30,000 + CONSTRUCTION 135,000) LESS PORTION
FUNDED IN FY2019
AVAILABLE FOR CARRYOVER 68,160= BAL TO FUND 96,840)
..................................................................................................................
14575-66300 - CAP OUT -OTHER IMPROVEMENT 4,000
9,000
9,000
14575-66900 - CAP OUT -PRO SVC 1,840
8,160
8,160
FY 2021
ADOPTED
96,840
96,840
CAPITAL OUTLAY 5,840 77,160 77,160 96,840
TOTAL REC IMPACT FEE FUND 5,840 79,160 77,160 96,840
125
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
PARKS & RECREATION
10579 - CLERMONT PERFORMING ARTS CENTR
10579-12100 - REGULAR SALARIES
10579-12110 - PART TIME SALARIES
10579-12120 - OVERTIME SALARIES
10579-12220 - FICA
10579-12240 - DEFINED CONTRIBUTION PENSION
10579-12300 - GROUP INSURANCE
10579-12305 - LIFE INSURANCE
10579-12315 - EMPLOYEE ASSISTANCE PLAN
10579-12400 - WORKERS COMPENSATION
PERSONNEL SERVICES
10579-53100 - PRO SVC-GENERAL
10579-53128 - BACKGROUND INVESTIGATIONS
10579-53129 - DRUG SCREENS
10579-53130 - MEDICAL SERVICES
10579-53401 - CONTRACT SVCS-GENERAL
10579-54001 - TRAVEL & PER DIEM
10579-54101 - TELEPHONE
10579-54200 - POSTAGE & FREIGHT
10579-54400- RENTALS -EQUIPMENT
10579-54500 - COMMERCIAL INSURANCE
10579-54614 - REPAIR & MAINT-EQUIPMENT
10579-54700 - PRINTING
10579-54800 - ADVERTISING
10579-54801 - PROMOTION
10579-54900 - OTHER CURRENT CHARGES
10579-54918 - PERMIT FEES
10579-54922 - PERFORMER FEES
10579-54923 - HOSPITALITY
10579-54924 - CREDIT CARD PROCESSING FEES
10579-54925 - PERFORMER RENTAL COST
10579-55100 - OFFICE SUPPLIES
10579-55200 - OPERATING SUPPLIES
10579-55203 - UNIFORMS
10579-55204 - MINOR EQUIPMENT
FY 2019
REVISED
ACTUAL BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
121,915
125,616
125,616
152,124
25,697
55,432
55,432
39,552
-
500
500
500
10,765
12,380
12,380
14,062
9,093
11,356
11,356
15,262
26,772
23,243
23,243
36,369
334
356
356
479
113
48
48
73
801
831
831
1,039
195,490
229,762
229,762
259,460
-
3,000
3,000
-
263
300
300
300
140
150
150
150
150
150
150
150
26,795
33,000
27,000
15,000
4,014
4,150
4,150
3,000
455
570
570
-
3,242
2,500
2,500
2,500
9,288
9,000
12,000
12,000
-
4,043
4,043
3,635
1,943
4,000
4,000
4,000
8,518
10,000
10,000
10,000
70,158
59,000
62,000
70,000
-
3,500
3,500
-
328
-
-
-
-
450
450
450
139,157
106,447
106,447
115,000
15,997
10,500
10,500
15,000
4,776
9,000
9,000
-
71,573
55,104
55,104
102,000
1,220
1,500
1,500
1,000
1,732
3,096
3,096
3,000
370
750
750
250
18,494
15,495
15,495
9,500
126
CITY OF CLERMONT, FLORIDA d'
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
PARKS & RECREATION
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
10579 - CLERMONT PERFORMING ARTS CENTR (Cont.)
10579-55209 - SAFETY SHOES
-
300
300
200
10579-55219 - SOFTWARE RENEWALS/SUPPORT
484
2,688
2,688
2,086
10579-55229 - OPERATING SOFTWARE
8,431
8,500
8,500
15,000
10579-55400 - SUBSCRIPTIONS & DUES
749
875
875
1,000
10579-55401 - TRAINING & EDUCATION
2,448
2,450
2,450
2,000
10579-56999 - RESTRICT CURRENT YR BUDGET
-
49,996
-
-
OPERATING EXPENSES
390,724
400,514
350,518
387,221
10579-66401 - CAP OUT-EQUIPMENT-CPAC
-
3,005
3,005
-
10579-66404 - CAP OUT -SOFTWARE
-
2,904
2,904
-
CAPITAL OUTLAY
-
5,909
5,909
-
TOTAL GENERAL FUND
586,214
636,185
586,189
646,681
14579 - CPAC
14579-66401 - CAP OUT -EQUIPMENT
-
20,000
20,000
-
CAPITAL OUTLAY
-
20,000
20,000
-
TOTAL REC IMPACT FEE FUND
-
20,000
20,000
-
TOTAL PARKS & RECREATION
3,230,906
3,339,525
3,646,239
3,231,107
�E
LERI"(ONT
Choice of Champions
128
Assistant Public Services
Director
vvaLer a Distribution
Wastewater & Collection
Treatment
Superintendent
(Distribution & Collections)
Public Services Public Services Public Services
Manager Manager Manager
Operations Chief Operations Chief Operations Chief Operations Chief
(WW Plant) (Water Plant) (Collections) I (Distribution)
WW/Water
w--a-t-e-r-/-w --- w-1
Leadlndustri;
)perator(Dual)
Operator(Dual)
Electrician
Lead Operator
Lead Operator
Industrial
(WW Plant)
(Water Plant)
Electrician (2
Operator
Operator
Lead Utility
WW Plant) (3)
{Water Plant]
Technician (:
Operator Trainee
utility
iWaterPlant]
Worker (3)
Foreman
(Distribution]
Lead Utility
Worker (4)
129
Utility
Worker(4)
PUBLIC SERVICES DEPARTMENT
FISCAL YEAR 2021
Construction (Sanitation )� Management
& Stormwater
Construction
Projects
Public Services
Public Services
Manager(2)
Manager
Technician (2)
Constructlon
Operations Chief
Oper
Inspector(2)
(Sanitation)
(Stl
GIS
Plans
Foreman
Specialist
Reviewer
{Sanitation)
Lear
Public Services
Sanitation
Technician (2)
Technician (5)
Utility
Technician (2]
Sanitation
Driver (9]
utility Worker
(City Locator)
Public Services
Director
Assistant Public Services
Director
Chief
Worker
Utility
Worker
Maintenance
Worker II (4)
Grounds &
Transportation
Public Services
Manager
urr Cemetery
(2) Caretaker
Crew
Leader
C reL^d
Leader
Maintenance
Worker II {4]
Maintenance
Worker II (4]
Crew
Leader
Crew
Leader
Maintenance
Worker II (3)
Maintenance
Worker II (3)
Maintena
Workernce
CLE WONT
iponhCocehoCams
Assistant Public Services
Director
Fleet &
Facilities Administration
Public Services
Office Manager
Manager
Administrative
Operations
Operations
Assistant (3)
Chief (Fleet]
Chief (Facilities)
Operations
Chief (Transportation)
Staff Assistant
Chief
Mechanic
Foreman
Conservation
(Facilities)
Officer
Mechanics (4]
Foreman
{Construction)
Foreman
ransportation)l
Crew
Leader
Construction
Specialist (2)
Crew
Maintenance
Leader
Worker II (5]
Maintenance
Mainte nance
ke
Worrll(2]
Workerl
z
Crew
Leader
Maintenance
Worker II (21
129
�E
LERI"(ONT
Choice of Champions
130
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURE SUMMARY
PUBLIC SERVICES
FY 2019
ACTUAL
PERSONNEL SERVICES 7,867,671
OPERATING EXPENSES 9,114,611
CAPITAL OUTLAY 5,568,561
DEBT SERVICE 531,719
PUBLIC SERVICES TOTAL 23,082,562
FY 2020
FY 2021
REVISED
BUDGET
8,675,239
11,141,104
30,623,381
1,607,582
52,047,306
PROJECTED
8,306,496
9,926,802
9,114,676
1,607,582
28,955,556
ADOPTED
9,233,384
9,054,565
33,873,105
1,610,369
53,771,423
131
CITY OF
CLERMONT, FLORIDA
d'
FISCAL
YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL BUDGET
PROJECTED
ADOPTED
lOS41-STREETS
MAINTENANCE
10541-12100
-
REGULAR SALARIES
356,985
414,640
414,640
389,930
10541-12120
-
OVERTIME SALARIES
8,311
8,164
8,164
6,000
10541-12220
-
FICA
26,220
30,070
30,070
27,526
10541-12240
-
DEFINED CONTRIBUTION PENSION
25,895
33,384
33,384
39,283
10541-12300
-
GROUP INSURANCE
102,466
117,335
117,335
127,526
10541-12305
-
LIFE INSURANCE
1,012
1,297
1,297
1,228
10541-12315
-
EMPLOYEE ASSISTANCE PLAN
230
279
279
260
10541-12400
-
WORKERS COMPENSATION
11,675
13,915
13,915
15,185
PERSONNEL SERVICES
532,796
619,084
619,084
606,938
10541-53100
-
PRO SVCS-GENERAL
1,185
-
-
-
10541-53128
-
BACKGROUND INVESTIGATIONS
657
200
200
200
10541-53129
-
DRUG SCREENS
762
400
400
400
10541-53130-
MEDICAL SERVICES
628
280
280
280
10541-53401
-
CONTRACT SVCS-GENERAL
69,502
18,178
18,178
3,400
10541-53403
-
CONTRACT SVCS-MOWING
22,158
22,000
22,000
28,000
10541-53406
-
CONTRACT SVCS-SIGNAGE
19,954
20,000
20,000
24,000
10541-53407
-
CONTRACT SVCES-SIGNALS
140,460
149,300
149,300
130,382
10541-54001
-
TRAVEL & PER DIEM
230
466
466
-
10541-54101
-
TELEPHONE
3,207
2,700
2,700
3,300
10541-54300
-
ELECTRIC & GAS SERVICE
228,089
230,000
230,000
230,000
10541-54304
-
SOLID WASTE DISPOSAL FEES
12,100
5,000
5,000
5,000
10541-54400
-
RENTALS -EQUIPMENT
2,959
3,000
3,000
1,500
10541-54500
-
COMMERCIAL INSURANCE
16,703
19,985
19,985
24,105
10541-54501
-
SELF-INSUR LIAB CLAIMS
1,500
-
-
-
10541-54600
-
R&M -BUILDINGS
-
200
200
-
10541-54601
-
REPAIR & MAINT-VEHICLES
10,073
9,000
9,000
9,000
10541-54602
-
REPAIR & MAINT-SIGNS
10,704
7,000
7,000
5,000
10541-54605
-
REPAIR & MAINT-TREES
8,410
14,500
14,500
10,000
10541-54608
-
REPAIR & MAINT-COUNTY RADIOS
384
2,655
2,655
-
10541-54614
-
REPAIR & MAINT-EQUIPMENT
13,106
4,200
4,200
4,200
10541-54620
-
REPAIR & MAINT-STREETSCAPE
2,540
1,800
1,800
800
10541-54625
-
REPAIR & MAINT-STREET MARKING
14,015
10,000
10,000
5,000
10541-54700
-
PRINTING
24
200
200
200
10541-55100
-
OFFICE SUPPLIES
525
500
500
500
132
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
d'
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
10541 - STREETS MAINTENANCE (Cont.)
10541-55200 - OPERATING SUPPLIES
2,917
2,000
2,000
2,000
10541-55201 - GAS & OIL
14,250
15,000
15,000
15,000
10541-55202 - TIRES & BATTERIES
904
1,600
1,600
1,600
10541-55203 - UNIFORMS
3,794
5,500
5,500
5,500
10541-55204 - MINOR EQUIPMENT
8,219
14,900
14,900
5,000
10541-55205 - SAFETY EQUIPMENT
5,557
3,000
3,000
2,000
10541-55209 - SAFETY SHOES
889
1,800
1,800
1,800
10541-55219 - SOFTWARE RENEWALS/SUPPORT
30
290
290
-
10541-55400 - SUBSCRIPTIONS & DUES
1,472
2,705
2,705
-
10541-55401 - TRAINING & EDUCATION
1,759
3,085
3,085
1,000
10541-56999 - RESTRICT CURRENT YR BUDGET
-
29,752
-
-
OPERATING EXPENSES
619,665
601,196
571,444
519,167
10541-66401 - CAPITAL EQUIPMENT
28,000
-
-
-
CAPITAL OUTLAY
28,000
-
-
-
TOTAL GENERAL FUND
1,180,461
1,220,280
1,190,528
1,126,105
12541 - STREETS MAINTENANCE
12541-54603 - REPAIR & MAINT-STREETS
552,051
650,000
650,000
-
12541-54604 - REPAIR & MAINT-SIDEWALKS
13,684
16,399
16,399
-
12541-56999 - RESTRICT CURRENT YR BUDGET
-
150,000
-
-
OPERATING EXPENSES
565,735
816,399
666,399
-
12541-66303 - CAP OUT -SIDEWALKS
6,198
102,155
102,155
-
12541-66400 - CAP OUT -VEHICLES
24,937
-
-
-
12541-66401 - CAPITAL EQUIPMENT
32,142
4,200
4,200
-
CAPITAL OUTLAY
63,276
106,355
106,355
-
12541-77113 - DEBT SVC-CAP LEASE EQPT PRINC
805
826
826
848
12541-77213 - DEBT SVC-CAP LEASE EQPT INT
246
224
224
201
DEBT SERVICE
1,050
1,050
1,050
1,049
TOTAL INFRASTRUCTURE FUND
630,062
923,804
773,804
1,049
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
10542 - GROUNDS MAINTENANCE
133
CITY OF
CLERMONT, FLORIDA
d'
FISCAL
YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL BUDGET
PROJECTED
ADOPTED
10S42-GROUNDS
MAINTENANCE
10542-12100
- REGULAR SALARIES
624,848
568,363
568,363
549,737
10542-12120
- OVERTIME SALARIES
9,914
7,888
7,888
8,900
10542-12220
- FICA
46,390
43,476
43,476
39,748
10542-12240
- DEFINED CONTRIBUTION PENSION
41,520
42,768
42,768
44,922
10542-12300
- GROUP INSURANCE
179,926
144,694
144,694
186,138
10542-12305
- LIFE INSURANCE
1,699
1,662
1,662
1,732
10542-12315
- EMPLOYEE ASSISTANCE PLAN
439
383
383
393
10542-12400
- WORKERS COMPENSATION
12,279
14,722
14,722
15,971
10542-12500
- UNEMPLOYMENT COMPENSATION
925
1,097
1,097
-
PERSONNEL SERVICES
917,940
825,053
825,053
847,541
10542-53100
- PRO SVCS-GENERAL
3,000
-
-
-
10542-53100-72107
- PRO SVCS--LK HIAW PRV M
11,266
8,500
8,500
-
10542-53128
- BACKGROUND INVESTIGATIONS
1,533
500
500
500
10542-53129
- DRUG SCREENS
1,172
400
400
400
10542-53130-
MEDICAL SERVICES
1,985
600
600
600
10542-53173
- PRO SVCES-LAKE MONITORING
432
700
700
700
10542-53401
- CONTRACT SVCS-GENERAL
103,547
68,497
68,497
3,500
10542-53402
- CONTRACT SVCES-CLEANING
46,898
45,062
60,000
50,000
10542-53402-72100
- CON SVC-CLEAN-W.PARK 7
4,368
4,500
4,500
4,500
10542-53402-72107
- CON SVC-CLEAN-LK HIAWA
22,999
24,000
24,000
24,000
10542-53402-72904
- CON SVC-CLEAN-WTRFRON
13,278
13,000
13,000
13,000
10542-53402-72905
- CON SVC-CLEAN-FELTER PR
4,517
4,500
4,500
4,500
10542-53402-72906
- CON SVC-CLEAN-HANCOCK
30,030
20,000
25,000
25,000
10542-53402-72907
- CON SVC-CLEAN-PALATLAK
8,736
9,000
9,000
9,000
10542-53403
- CONTRACT SVCS-MOWING
-
1,000
1,000
500
10542-53403-72107
- CON SVC MOW-LK HIAW 72
20,130
20,000
20,000
20,100
10542-53404
- CONTRACT SVCES-PEST CONT
929
900
900
900
10542-53404-72100
- CON SVC-PEST-W PARK 72
478
250
250
200
10542-53404-72107
- CON SVC- PEST- HIAWATHA
912
462
462
350
10542-53404-72904
- CON SVC-PEST-WATERFRO
225
210
210
210
10542-53404-72905
- CON SVC-PEST CONT-FELT
104
120
120
120
10542-53404-72906
- CON SVC- PEST- HANCOCK P
394
400
400
400
10542-53404-72907
- CON SVC- PEST- PALATLAKA
465
350
350
300
10542-54001
- TRAVEL & PER DIEM
657
486
486
-
134
CITY OF
CLERMONT, FLORIDA
d'
FISCAL
YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL BUDGET
PROJECTED
ADOPTED
10S42 -
GROUNDS
MAINTENANCE
(Cont.)
10542-54101
- TELEPHONE
3,086
3,700
3,700
3,885
10542-54300
- ELECTRIC &
GAS SERVICE
23,932
20,000
20,000
21,300
10542-54300-72100
- ELEC
& GAS-W.PARK 72100
4,165
7,200
7,200
7,200
10542-54300-72107
- ELEC
& GAS SVC-L.HIAWA
5,252
4,800
4,800
5,700
10542-54300-72905
- ELEC
& GAS-FELTER 72905
7,796
9,000
9,000
9,000
10542-54300-72906
- ELEC
& GAS-HANCOCK 729
41,161
50,000
50,000
40,000
10542-54300-72907
- ELEC
& GAS -PARK PALS 72
5,291
8,000
8,000
6,000
10542-54301
- WATER & SEWER SERVICE
51,401
51,888
51,888
53,000
10542-54301-72100
- W&S-W.PARK
72100
564
563
563
571
10542-54301-72107
- W&S-L.HIAWA
72107
174
131
131
684
10542-54301-72904
- W&S-WTRFRNT
72904
1,335
1,314
1,314
1,112
10542-54301-72905-
W&S-FELTER
72905
289
262
262
437
10542-54301-72906
- W&S-HANCOCK
72906
3,498
3,705
3,705
3,867
10542-54301-72907
- W&S-PARK
PAL 72907
2,333
2,137
2,137
2,400
10542-54304-72906
- SOLID
WASTE-HANCOCK 7
4,564
3,000
3,000
4,450
10542-54400
- RENTALS -EQUIPMENT
2,228
4,400
4,400
2,400
10542-54500
- COMMERCIAL INSURANCE
53,303
30,705
30,705
37,034
10542-54501
- SELF-INSUR
LIAB CLAIMS
993
-
-
-
10542-54600
- R&M -BUILDINGS
30,199
3,000
3,000
1,500
10542-54600-72100-
R&M-BLDG-W
PARK 72100
16
500
500
500
10542-54600-72107
- R&M-BLDG-LK.HIAWA
7210
7,741
3,000
3,000
3,000
10542-54600-72904
- R&M-BLDG-WTR
FRONT 72
2,650
2,000
2,000
2,000
10542-54600-72905-
R&M-BLDG-FELTER
72905
196
500
500
500
10542-54600-72906
- R&M -BLDG-HANCOCK
7290
141
500
500
500
10542-54600-72907
- R&M -BLDG-PALATLAKAH
72
5,180
1,000
1,000
1,000
10542-54601
- REPAIR & MAINT-VEHICLES
11,074
5,000
5,000
5,000
10542-54606
- R&M -GROUNDS
9,760
9,500
9,500
9,500
10542-54606-72100
- R&M-GROUNDS-W.
PARK 72
1,027
1,000
1,000
1,000
10542-54606-72107
- R&M-GROUNDS-L.HIAW
72
3,366
6,000
6,000
3,000
10542-54606-72904
- R&M-GROUNDS-WTRFRT
72
8,074
10,000
10,000
5,000
10542-54606-72905
- R&M-GROUNDS-FELTER
72
2,903
1,000
1,000
1,000
10542-54606-72906
- R&M-GROUNDS-HANCOC
7
7,137
2,500
2,500
2,500
10542-54606-72907
- R&M -GROUNDS
-PARK PAL 7
9,677
5,000
5,000
5,000
10542-54607
- REPAIR & MAINT-SOD
974
1,000
1,000
1,000
135
CITY OF CLERMONT, FLORIDA
d'
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL BUDGET
PROJECTED
ADOPTED
10S42 - GROUNDS MAINTENANCE (Cont.)
10542-54607-72907 - R&M -SOD -PARK PALS 7290
383
1,000
1,000
1,000
10542-54609 - R&M -WATERFRONT
13,051
8,000
8,000
8,000
10542-54614 - REPAIR & MAINT-EQUIPMENT
22,415
15,000
15,000
15,000
10542-54617 - R&M -FISHING PIERS
541
1,000
1,000
500
10542-54617-72107 - R&M- FISH PIER - L.HIAW 7
655
500
500
500
10542-54617-72904 - R&M -FISHING PIER-WTRFT
795
1,000
1,000
1,000
10542-54617-72907 - R&M -FISH PIER-P.PAL 7290
481
1,000
1,000
1,000
10542-54618 - REPAIR & MAINT-XMAS DECOR
7,780
8,000
8,000
3,000
10542-54700 - PRINTING
24
1,000
1,000
1,000
10542-54900 - OTHER CURRENT CHARGES
559
1,100
1,100
600
10542-54904 - AQUATIC WEED CONTROL
6,882
11,000
11,000
7,000
10542-54904-72107 - AQUATIC WEED CONT-LK H
-
1,000
1,000
500
10542-54904-72904 - AQUATIC WEED CONT-WTR
500
2,500
2,500
500
10542-54912-72107 - SECURITY/MONI SVC-L.HIA
1,200
1,600
1,600
1,600
10542-55100 - OFFICE SUPPLIES
485
200
200
200
10542-55200 - OPERATING SUPPLIES
12,418
12,000
12,000
10,000
10542-55200-38110 - OPER SUPP-VIC PT 38110
137
-
-
500
10542-55200-72100 - OPER SUPP-W.PARK 72100
661
500
500
500
10542-55200-72107 - OPER SUPP-L.HIAWA 72107
1,831
1,000
1,000
1,000
10542-55200-72904 - OPERATING SUPPLIES-WAT
3,960
5,000
5,000
5,000
10542-55200-72905 - OPER SUPP-FELTER 72905
912
1,000
1,000
1,000
10542-55200-72906 - OPER SUPP-HANCOCK 7290
5,886
10,000
10,000
6,000
10542-55200-72907 - OPER SUPP-PARK PALS 729
2,174
2,500
2,500
2,500
10542-55201 - GAS & OIL
39,338
31,000
31,000
31,000
10542-55202 - TIRES & BATTERIES
5,385
4,000
4,000
3,000
10542-55203 - UNIFORMS
8,189
7,500
7,500
7,500
10542-55204 - MINOR EQUIPMENT
23,971
25,000
25,000
25,000
10542-55205 - SAFETY EQUIPMENT
2,497
2,000
2,000
2,000
10542-55209 - SAFETY SHOES
2,248
3,000
3,000
3,000
10542-55211 - MOSQUITO CONTROL CHEMICALS
1,028
2,000
2,000
3,000
10542-55219 - SOFTWARE RENEWALS/SUPPORT
19
-
-
-
10542-55401 - TRAINING & EDUCATION
4,554
1,935
1,935
2,000
10542-55409 - LICENSES & CERTIFICATIONS
172
-
-
510
10542-56999 - RESTRICT CURRENT YR BUDGET
-
73,597
-
-
136
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
PUBLIC SERVICES
10542 - GROUNDS MAINTENANCE (Cont.)
OPERATING EXPENSES
10542-66300-72126 - CAP OUT-OTH IMP HANC LG
10542-66301-72113 - CAP OUT-LK HIAWATH RES
10542-66401 - CAPITAL EQUIPMENT
CAPITAL OUTLAY
TOTAL GENERAL FUND
12542 - GROUNDS MAINTENANCE
12542-55204 - MINOR EQUIPMENT(5 YR LIFE)
OPERATING EXPENSES
12542-66300 - CAP OUT -OTHER IMPROVEMENT
12542-66300-72113 - CAP OUT -OTHER IMPROVEM
12542-66400 - CAP OUT -VEHICLES
12542-66401 - CAP OUT -EQUIPMENT
12542-66900-72113 - CAP -PRO LK HIAWATH PIER
CAPITAL OUTLAY
TOTAL INFRASTRUCTURE FUND
13542 - CEMETERY
13542-12100 -
REGULAR SALARIES
13542-12120 -
OVERTIME SALARIES
13542-12220 -
FICA
13542-12240 -
DEFINED CONTRIBUTION PENSION
13542-12300 -
GROUP INSURANCE
13542-12305 -
LIFE INSURANCE
13542-12315 -
EMPLOYEE ASSISTANCE PLAN
13542-12400 -
WORKERS COMPENSATION
PERSONNEL SERVICES
13542-53154 -
PRO SVC-INVESTMENT ADVISOR
13542-53401 -
CONTRACT SVCS-GENERAL
13542-54300 -
ELECTRIC & GAS SERVICE
13542-54301 -
WATER & SEWER SERVICE
13542-54304 -
SOLID WASTE DISPOSAL FEES
13542-54600 -
R&M -BUILDINGS
13542-54601 -
REPAIR & MAINT-VEHICLES
FY 2019
FY 2020
FY 2021
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
760,669
658,015
544,730
711,674
317,347
-
-
-
4,269
1,026
1,026
-
51,606
-
-
-
373,222
1,026
1,026
-
2,051,831
1,537,753
1,484,094
1,392,271
-
29,445
29,445
-
-
29,445
29,445
-
234,289
59,991
59,991
-
-
95,000
95,000
-
49,840
-
-
-
-
37,774
37,774
-
-
23,183
23,183
-
284,129
215,948
215,948
-
284,129
245,393
245,393
-
47,617
49,623
51,837
52,523
-
500
35
500
3,164
3,340
3,549
3,700
3,995
5,012
5,187
5,302
17,901
16,208
16,399
16,101
153
156
178
165
24
24
26
24
877
908
1,043
1,139
73,731
75,771
78,254
79,454
385
-
394
394
3,014
-
-
12,840
2,614
3,500
3,000
3,500
405
1,000
500
500
-
934
934
934
45
1,500
700
1,500
-
4,000
2,000
4,000
137
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
d'
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
13542 - CEMETERY (Cont.)
13542-54605 - REPAIR & MAINT-TREES
-
500
500
500
13542-54606 - R&M -GROUNDS
8,385
500
500
500
13542-54607 - REPAIR & MAINT-SOD
381
1,500
1,500
1,500
13542-54614 - REPAIR & MAINT-EQUIPMENT
2,150
790
790
790
13542-54900 - OTHER CURRENT CHARGES
6,419
-
-
-
13542-54909 - BANK SERVICE CHARGES
201
260
196
226
13542-55201 - GAS & OIL
445
1,300
600
1,000
13542-55202 - TIRES & BATTERIES
264
650
650
650
13542-55203 - UNIFORMS
-
500
500
500
13542-55204 - MINOR EQUIPMENT
250
750
750
750
13542-55205 - SAFETY EQUIPMENT
291
200
200
200
13542-55209 - SAFETY SHOES
-
100
100
100
OPERATING EXPENSES
25,249
17,984
13,814
30,384
13542-66201 - CAP OUT -BUILDINGS
14,980
-
-
-
13542-66300 - CAP OUT -OTHER IMPROVEMENT
3,606
17,980
17,980
5,450
(1) NEW ENCLOSED SHED AT OAK HILL CEMETERY
5,450
12X20 TAN AFRAMED ENCLOSED SHED WITH ROLL
..................................................................................................................
UP AND SIDE DOOR.
CAPITAL OUTLAY
18,586
17,980
17,980
5,450
TOTAL CEMETERY FUND
117,566
111,735
110,048
115,288
14542 - GROUNDS MAINTENANCE
14542-53154 - PRO SVCES-INVESTMENT ADVISOR
357
360
365
365
14542-54909 - BANK SERVICE CHARGES
186
180
182
209
OPERATING EXPENSES
544
540
547
574
14542-66300 - CAP OUT -OTHER IMPROVEMENT
-
58,000
15,761
-
14542-66301 - CAP OUT -RECREATION
-
40,000
-
-
14542-66301-72905 - CAP OUT -RECREATION FELT
229,100
-
-
-
14542-66401 - CAPITAL EQUIPMENT
6,802
-
-
-
CAPITAL OUTLAY
235,902
98,000
15,761
-
TOTAL REC IMPACT FEE FUND
236,446
98,540
16,308
574
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
PUBLIC SERVICES
10544 - FLEET MAINTENANCE
10544-12100 -
REGULAR SALARIES
10544-12120 -
OVERTIME SALARIES
10544-12220 -
FICA
10544-12240 -
DEFINED CONTRIBUTION PENSION
10544-12300 -
GROUP INSURANCE
10544-12305 -
LIFE INSURANCE
10544-12315 -
EMPLOYEE ASSISTANCE PLAN
10544-12400 -
WORKERS COMPENSATION
PERSONNEL SERVICES
10544-53128 -
BACKGROUND INVESTIGATIONS
10544-53129 -
DRUG SCREENS
10544-53401 -
CONTRACT SVCS-GENERAL
10544-54001 -
TRAVEL & PER DIEM
10544-54101 -
TELEPHONE
10544-54311 -
WASTE OIL DISPOSAL
10544-54500 -
COMMERCIAL INSURANCE
10544-54600 -
R&M -BUILDINGS
10544-54601 -
REPAIR & MAINT-VEHICLES
10544-54614 -
REPAIR & MAINT-EQUIPMENT
10544-54700 -
PRINTING
10544-55100 -
OFFICE SUPPLIES
10544-55200 -
OPERATING SUPPLIES
10544-55201 -
GAS & OIL
10544-55202 -
TIRES & BATTERIES
10544-55203 -
UNIFORMS
10544-55204 -
MINOR EQUIPMENT
10544-55209 -
SAFETY SHOES
10544-55219 -
SOFTWARE RENEWALS/SUPPORT
10544-55299 -
UNBILLED FUEL USAGE
10544-55400 -
SUBSCRIPTIONS & DUES
10544-55401 -
TRAINING & EDUCATION
10544-55409 -
LICENSES & CERTIFICATIONS
OPERATING EXPENSES
FY 2019
FY 2020
FY 2021
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
209,823
237,469
237,469
245,437
669
381
381
1,800
14,943
17,094
17,094
17,449
15,969
23,278
23,278
24,724
66,626
64,491
64,491
69,398
670
756
756
773
110
119
119
115
2,684
3,194
3,194
3,486
311,493
346,782
346,782
363,182
46
-
-
-
35
-
-
-
1,805
-
-
-
657
88
88
1,468
975
840
840
1,400
408
600
600
600
1,624
2,934
2,934
3,539
-
500
500
-
1,174
1,500
1,500
1,500
2,909
3,650
3,650
2,650
57
-
-
-
141
200
200
200
20,389
20,500
20,500
20,500
3,260
3,000
3,000
3,000
83
200
200
1,000
1,345
2,000
2,000
2,000
3,983
5,000
5,000
2,500
600
700
700
700
1,464
3,550
3,550
3,550
1,689
2,000
2,000
2,000
200
385
385
-
604
100
100
-
88
-
-
100
43,536
47,747
47,747
46,707
139
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
d'
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
TOTAL GENERAL FUND
355,030
394,529
394,529
409,889
12544 - FLEET MAINTENANCE
12544-66401 - CAP OUT -EQUIPMENT
-
1,768
1,768
-
CAPITAL OUTLAY
-
1,768
1,768
-
TOTAL INFRASTRUCTURE FUND
-
1,768
1,768
-
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
10545 - ENGINEERING & INSPECTIONS
10545-12100 - REGULAR SALARIES
91,256
81,950
81,950
63,404
10545-12120 - OVERTIME SALARIES
225
150
150
675
10545-12220 - FICA
6,798
6,078
6,078
4,525
10545-12240 - DEFINED CONTRIBUTION PENSION
7,357
6,387
6,387
5,945
10545-12300 - GROUP INSURANCE
19,763
15,805
15,805
12,086
10545-12305 - LIFE INSURANCE
273
284
284
200
10545-12315 - EMPLOYEE ASSISTANCE PLAN
30
34
34
24
10545-12400 - WORKERS COMPENSATION
577
596
596
746
PERSONNEL SERVICES
126,279
111,284
111,284
87,605
10545-53100 - PRO SVCS-GENERAL
11,445
-
9,955
-
10545-53128 - BACKGROUND INVESTIGATIONS
315
-
-
50
10545-53129 - DRUG SCREENS
149
-
-
100
10545-53130- MEDICAL SERVICES
225
-
-
75
10545-53401 - CONTRACT SVCS-GENERAL
1,203
9,955
-
-
10545-54001 - TRAVEL & PER DIEM
565
-
-
4,620
10545-54101 - TELEPHONE
445
700
700
1,540
10545-54200 - POSTAGE & FREIGHT
11
200
200
200
10545-54500 - COMMERCIAL INSURANCE
463
1,528
1,528
1,843
10545-54601 - REPAIR & MAINT-VEHICLES
1,485
1,660
1,660
2,500
10545-54614 - REPAIR & MAINT-EQUIPMENT
87
-
-
-
10545-54640 - REPAIR & MAINT-COPIERS
2,111
900
900
900
10545-54700 - PRINTING
-
500
500
500
10545-55100 - OFFICE SUPPLIES
648
650
650
650
10545-55201 - GAS & OIL
130
300
300
300
140
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
d'
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
10545 - ENGINEERING & INSPECTIONS (Cont.)
10545-55202 - TIRES & BATTERIES
560
-
-
1,600
10545-55203 - UNIFORMS
220
100
100
900
10545-55204 - MINOR EQUIPMENT
774
720
720
720
10545-55205 - SAFETY EQUIPMENT
514
300
300
300
10545-55209 - SAFETY SHOES
177
300
300
400
10545-55219 - SOFTWARE RENEWALS/SUPPORT
1,396
1,000
1,000
-
10545-55400 - SUBSCRIPTIONS & DUES
629
495
495
105
10545-55401 - TRAINING & EDUCATION
1,328
-
-
900
10545-56999 - RESTRICT CURRENT YR BUDGET
-
1,875
-
-
OPERATING EXPENSES
24,879
21,183
19,308
18,203
TOTAL GENERAL FUND
151,158
132,467
130,592
105,808
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
10549 - FACILITIES MAINTENANCE
10549-12100 - REGULAR SALARIES
292,828
320,751
320,751
333,813
10549-12120 - OVERTIME SALARIES
10,002
4,076
4,076
5,000
10549-12220 - FICA
22,020
23,783
23,783
23,483
10549-12240 - DEFINED CONTRIBUTION PENSION
18,181
24,448
24,448
28,317
10549-12300 - GROUP INSURANCE
85,511
65,673
65,673
94,342
10549-12305 - LIFE INSURANCE
847
992
992
1,052
10549-12315 - EMPLOYEE ASSISTANCE PLAN
203
214
214
210
10549-12400 - WORKERS COMPENSATION
5,654
6,737
6,737
7,352
PERSONNEL SERVICES
435,245
446,674
446,674
493,569
10549-53100 - PRO SVCS-GENERAL
6,000
-
-
-
10549-53128 - BACKGROUND INVESTIGATIONS
383
100
100
100
10549-53129 - DRUG SCREENS
435
50
50
50
10549-53130- MEDICAL SERVICES
375
100
100
100
10549-53401 - CONTRACT SVCS-GENERAL
28,406
2,000
2,000
1,000
10549-53402 - CONTRACT SVCES-CLEANING
7,080
8,000
8,000
8,000
10549-53402-19100 - CON SVC-CLEAN-CCC 1910
20,100
22,000
22,000
22,000
10549-53402-72117 - CON SVC-CLEAN-ROWING F
11,500
12,000
12,000
12,000
`ffiI
CITY OF
CLERMONT, FLORIDA
d'
FISCAL
YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL BUDGET
PROJECTED
ADOPTED
10S49 -
FACILITIES MAINTENANCE (Cont.)
10549-53402-72121
-
CON SVC-CLEAN-KEHLOR-7
-
1,300
1,300
11,000
10549-53402-72903
-
CON SVC-CLEAN -HIGH LAND
8,059
9,500
9,500
9,500
10549-53403-21101
-
CONT SVC-MOWING POL HQ
8,220
7,200
7,200
7,200
10549-53403-22899
-
CON SVC-MOW ALL F/S'S 2
3,460
4,000
4,000
4,000
10549-53404
- CONTRACT
SVCES-PEST CONT
859
1,550
1,550
1,200
10549-53404-19100
-
CON SVC-PEST-CITY CTR 1
341
350
350
350
10549-53404-19103
-
CON SVC-PEST CITY HALL 1
413
400
400
405
10549-53404-21101
-
CON SVC-PEST POL HQ 211
434
434
434
435
10549-53404-22899
-
CON SVC-PEST ALL F/S'S 2
1,166
1,750
1,750
1,750
10549-53404-72117
-
CON SVC-PEST ROW FACIL
622
270
270
270
10549-53404-72121
-
CON SVC-PEST-KEHLOR 72
-
1,608
1,608
1,000
10549-53404-72903
-
CON SVC-PEST-HIGHLANDE
304
320
320
320
10549-53412-19103
-
CON SVC-ELEV MTC CITYHA
1,595
1,500
1,500
2,600
10549-53412-21101
-
CONT SVC-ELEV POLICE HQ
1,435
3,960
3,960
2,900
10549-53412-22899
-
CON SVC-ELEV ALL F/S'S 2
1,360
1,470
1,470
2,300
10549-53418-19100
-
CON SVC-HVAC CITY CTR 1
-
-
-
13,000
10549-53418-19103
-
CON SVC-HVAC CITY HALL
-
-
-
22,000
10549-53418-21101
-
CONTRACT SVC-HVAC PDH
-
5,060
5,060
4,500
10549-54001
- TRAVEL & PER DIEM
467
95
95
-
10549-54101
- TELEPHONE
1,350
1,000
1,000
1,550
10549-54101-19100
-
TELEPHONE -CITY CENTER
2,171
2,400
2,400
-
10549-54101-72903
-
TELEPHONE -HIGHLANDER H
562
700
700
-
10549-54300
- ELECTRIC & GAS SERVICE
9,555
11,000
11,000
11,000
10549-54300-19100
-
ELEC & GAS SVC-CITY CEN
30,966
31,000
31,000
31,000
10549-54300-72117
-
ELEC & GAS SVC-ROWING
2,306
2,000
2,000
2,500
10549-54300-72121
-
ELEC & GAS SVC-KEHLOR 7
497
1,200
1,200
2,500
10549-54300-72903
-
ELEC & GAS SVC-HIGHL.HU
9,497
9,000
9,000
11,000
10549-54300-95108
-
ELECT & GAS CITY LIMIT 9
165
500
500
900
10549-54301
- WATER
& SEWER SERVICE
2,470
3,500
3,500
1,400
10549-54301-19100
-
WATER & SEWER SERVICE-
426
-
-
2,500
10549-54301-72117
-
WATER & SEWER SERVICE-
107
200
200
200
10549-54301-72121
-
W&S SERVICE-KEHLOR 721
1,228
2,500
2,500
4,000
10549-54301-72903
-
WATER & SEWER SERVICE-
317
-
-
2,000
10549-54301-95108
-
WAT & SEW SVC CITY LMT
-
500
500
500
142
CITY OF CLERMONT, FLORIDA
d'
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL BUDGET
PROJECTED
ADOPTED
10S49 - FACILITIES MAINTENANCE (Cont.)
10549-54304-19100 - SOLID WASTE DISPOSAL FE
1,850
3,500
3,500
3,500
10549-54312 - CONSTRUCTION & DEBRIS DISPOS
-
1,000
1,000
1,000
10549-54400- RENTALS -EQUIPMENT
-
900
900
900
10549-54500 - COMMERCIAL INSURANCE
19,512
21,672
21,672
26,139
10549-54501 - SELF-INSUR LIAB CLAIMS
3,148
-
-
-
10549-54600 - R&M -BUILDINGS
18,509
5,000
5,000
5,000
10549-54600-19100 - R&M-BUILDINGS-CCC 1910
11,622
7,000
7,000
7,000
10549-54600-21101 - R&M -BUILDINGS -POLICE H
16,892
16,000
16,000
16,000
10549-54600-22801 - R&M-BUILDINGS-FS#4 228
5,967
1,000
1,000
3,000
10549-54600-22802 - R&M-BUILDINGS-FS#2 228
14,038
11,900
11,900
7,000
10549-54600-22803 - R&M-BUILDINGS-FS#3 228
12,736
6,547
60,547
7,000
10549-54600-22804 - R&M-BULDINGS-FS#1 2280
9,411
11,100
11,100
7,000
10549-54600-72117 - R&M -BUILDINGS -ROWING
2,115
2,000
2,000
2,000
10549-54600-72121 - R&M-BLDG-KEHLOR-72121
1,127
1,000
1,000
1,000
10549-54600-72903 - R&M -BUILDINGS -HIGHLAND
5,632
3,000
3,000
6,000
10549-54600-95108 - REP & MTC-BLDGS CITY LIM
-
500
500
500
10549-54601 - REPAIR & MAINT-VEHICLES
2,437
1,000
1,000
1,000
10549-54606 - R&M -GROUNDS
1,217
1,000
1,000
1,000
10549-54606-19100 - R&M -GROUNDS -CITY CENT
1,796
2,000
2,000
2,000
10549-54606-21101 - R&M -GROUNDS -POLICE 21
872
500
500
500
10549-54606-22801 - R&M-GROUNDS-FS#4 2280
945
500
500
500
10549-54606-22802 - R&M-GROUNDS-FS#2 2280
935
500
500
500
10549-54606-22803 - R&M-GROUNDS-FS#3 2280
1,072
500
500
500
10549-54606-22804 - R&M -GROUNDS - FS #1 22
980
500
500
500
10549-54606-72117 - R&M -GROUNDS -ROWING 7
626
100
100
100
10549-54606-72121 - R&M-GROUNDS-KEHLOR-72
965
1,000
1,000
500
10549-54606-72903 - R&M-GROUNDS-H.HUT 729
1,137
500
500
500
10549-54606-95108 - REP&MTC-GROUNDS CITY L
-
500
500
500
10549-54607 - REPAIR & MAINT-SOD
-
250
250
250
10549-54607-72121 - R&M-SOD-KEHLOR-72121
-
500
500
-
10549-54614 - REPAIR & MAINT-EQUIPMENT
963
1,000
1,000
1,000
10549-54621 - REPAIR & MAINT-CITY HALL
39,706
15,000
15,000
15,000
10549-54630 - REPAIR & MAINT-OTHER
-
1,000
1,000
-
10549-54640 - REPAIR & MAINT-COPIERS
-
425
425
425
143
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
PUBLIC SERVICES
10549 - FACILITIES MAINTENANCE (Cont.)
10549-54700 - PRINTING
10549-54900 - OTHER CURRENT CHARGES
10549-54912 - SECURITY/MONITORING SERVICE
10549-54912-19100 - SECURITY/MONITORING SV
10549-54912-72117 - SECURITY/MONITORING SE
10549-54912-72121 - SEC/MONITOR SVC-KEHLOR
10549-54912-72903 - SECURITY/MONITORING SV
10549-55100 - OFFICE SUPPLIES
10549-55200 - OPERATING SUPPLIES
10549-55200-19100 - OPERATING SUPPLIES -CITY
10549-55200-72117 - OPERATING SUPPLIES -ROW
10549-55200-72121 - OP SUPPLIES-KEHLOR-7212
10549-55200-72903 - OPERATING SUPPLIES-H.HU
10549-55201 - GAS & OIL
10549-55202 - TIRES & BATTERIES
10549-55203 - UNIFORMS
10549-55204 - MINOR EQUIPMENT
10549-55205 - SAFETY EQUIPMENT
10549-55209 - SAFETY SHOES
10549-55219 - SOFTWARE RENEWALS/SUPPORT
10549-55221-99003 - COVID-19 EQPT & SUPPLIE
10549-55400 - SUBSCRIPTIONS & DUES
10549-55401 - TRAINING & EDUCATION
10549-55401-60000 - TRAINING & EDUCATION-C
10549-56999 - RESTRICT CURRENT YR BUDGET
OPERATING EXPENSES
10549-66300 - CAP OUT -OTHER IMPROVEMENT
10549-66404 - CAP OUT -SOFTWARE
CAPITAL OUTLAY
TOTAL GENERAL FUND
12549 - FACILITIES MAINTENANCE
12549-56999 - RESTRICT CURRENT YR BUDGET
OPERATING EXPENSES
FY 2019
REVISED
ACTUAL BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
-
200
200
200
51
150
150
150
300
800
800
500
840
800
800
800
600
775
775
775
-
1,920
1,920
600
360
600
600
600
459
700
700
700
2,329
2,000
2,000
2,000
2,475
3,000
3,000
3,000
2,479
2,200
2,200
2,200
-
1,600
1,600
1,600
1,103
1,500
1,500
2,000
11,133
9,500
9,500
11,500
1,417
500
500
2,220
4,117
4,000
4,000
4,000
5,910
6,000
6,000
5,000
512
250
250
300
853
1,100
1,100
1,100
55
-
-
50
-
7,700
7,700
-
567
370
370
400
6,028
2,084
2,084
1,000
-
-
-
50
-
12,400
-
-
382,428
329,560
371,160
357,589
10,365
79,938
6,000
-
3,193
-
-
-
13,557
79,938
6,000
-
831,230
856,172
823,834
851,158
-
12,000
-
-
-
12,000
-
-
144
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
d'
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
TOTAL INFRASTRUCTURE FUND
-
12,000
-
-
14549 - FACILITIES MAINTENANCE
14549-66301-72117 - CAP OUT-REC ROW FAC 72
298,457
77,832
109,543
-
14549-66900-72117 - CAP -PRO SVC ROW FAC 72
20,211
-
-
-
CAPITAL OUTLAY
318,668
77,832
109,543
-
TOTAL REC IMPACT FEE FUND
318,668
77,832
109,543
-
32549 - FACILITIES MAINTENANCE
32549-66201-49000 - CAP-BLDG PW FAC 49000
-
6,750,000
-
6,750,000
32549-66201-72121 - CAP OUT-KEHLOR BLDG - 7
340,595
309,405
104,507
-
32549-66405-49000 - CAP OUT -IT PW FACILITY49
-
6,000
-
6,000
32549-66900-49000 - CAP- PRO SVCS PW FAC 49
420,842
460,407
123,362
337,045
32549-66900-72121 - CAP OUT -PRO SVC-KEHLOR
2,761
-
-
-
32549-66901-72121 - CAP OUT-DEMO-KEHLOR -
2,100
25,139
25,139
-
CAPITAL OUTLAY
766,298
7,550,951
253,008
7,093,045
TOTAL CAPITAL PROJECTS FUND
766,298
7,550,951
253,008
7,093,045
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
10573 - HISTORIC VILLAGE
10573-53402 - CONTRACT SVCS-CLEANING
11,500
12,000
12,000
12,000
10573-53404 - CONTRACT SVCS-PEST CONT
1,148
700
700
700
10573-54101 - TELEPHONE
420
600
600
500
10573-54500 - COMMERCIAL INSURANCE
4,071
4,503
4,503
1,349
10573-54600 - R&M -BUILDING
4,174
4,000
4,000
4,000
10573-54600-72104 - R&M-BLDGS TOWNSEND 72
37,820
-
-
-
10573-54606 - R&M -GROUNDS
1,075
500
500
500
10573-54630 - REPAIR & MAINT-OTHER
-
100
100
100
10573-54912 - SECURITY/MONITORING SERVICE
600
750
750
750
10573-55200 - OPERATING SUPPLIES
1,915
2,000
2,000
2,000
OPERATING EXPENSES
62,721
25,153
25,153
21,899
TOTAL GENERAL FUND
62,721
25,153
25,153
21,899
145
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
PUBLIC SERVICES
41533 - WATER
41533-12100 -
REGULAR SALARIES
41533-12110 -
PART-TIME SALARIES
41533-12120 -
OVERTIME SALARIES
41533-12220 -
FICA
41533-12240 -
DEFINED CONTRIBUTION PENSION
41533-12300 -
GROUP INSURANCE
41533-12305 -
LIFE INSURANCE
41533-12315 -
EMPLOYEE ASSISTANCE PLAN
41533-12400 -
WORKERS COMPENSATION
41533-12500 -
UNEMPLOYMENT COMPENSATION
PERSONNEL
SERVICES
41533-53100 -
PRO SVC-GENERAL
41533-53128 -
BACKGROUND INVESTIGATIONS
41533-53129 -
DRUG SCREENS
41533-53130 -
MEDICAL SERVICES
41533-53141 -
PRO SVC-ALTERNATIVE WATER
41533-53150 -
PRO SVCS-LABORATORY
41533-53154 -
PRO SVCS-INVESTMENT ADVISOR
41533-53168 -
PRO SVCS-SAFETY TRAINING
41533-53169 -
PRO SVCS-UTILITY LOCATES
41533-53183 -
PRO SVCS-CUP REQUIREMENTS
41533-53186 -
PRO SVCS-DOCUMENT IMAGING
41533-53401 -
CONTRACT SVCS-GENERAL
41533-53402 -
CONTRACT SVCS-CLEANING
41533-53403 -
CONTRACT SVCS-MOWING
41533-53404 -
CONTRACT SVCS-PEST CONT
41533-53417 -
CONTRACT SVCS-GATE MAINTENA
41533-54001 -
TRAVEL & PER DIEM
41533-54001-33002 - TRAVEL & PER DIEM-DISTR
41533-54101 -
TELEPHONE
41533-54102 -
INTERNET SERVICE
41533-54200 -
POSTAGE & FREIGHT
41533-54300 -
ELECTRIC & GAS SVC-WEST TRTM
41533-54301 -
WATER & SEWER SERVICE
FY 2019
FY 2020
FY 2021
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
1,206,652
1,385,666
1,365,817
1,558,776
4,527
14,707
15,806
18,077
36,433
23,850
76,368
25,200
89,595
97,804
106,182
112,586
82,738
139,084
117,227
138,322
408,428
395,094
283,935
439,215
3,573
4,357
3,919
4,910
658
753
713
793
16,374
16,996
19,512
21,294
261
-
-
-
1,849,239
2,078,311
1,989,479
2,319,173
8,062
75,000
50,313
67,500
1,340
2,017
2,000
2,000
552
1,517
1,500
1,500
1,878
2,000
2,000
2,000
-
50,000
50,000
50,000
18,380
28,800
28,800
25,000
4,241
4,300
4,336
4,336
6,203
5,000
5,000
1,500
2,167
2,500
2,300
2,500
44,220
50,000
50,000
50,000
-
4,214
-
3,000
17,062
10,333
10,333
10,000
2,892
3,600
3,600
3,600
7,467
10,000
6,000
9,300
724
2,400
2,400
2,400
1,200
800
1,200
1,200
5,260
18,233
1,100
-
-
-
500
3,800
33,959
25,400
20,000
25,000
8,335
7,000
7,000
7,000
56,172
55,000
45,000
56,000
60,545
100,000
62,000
62,000
6,722
7,000
7,000
7,000
146
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
PUBLIC SERVICES
41533 - WATER (Cont.)
41533-54304 - SOLID WASTE DISPOSAL FEES
41533-54306 - ELECTRIC & GAS SVC-EAST TRMNT
41533-54400- RENTALS -EQUIPMENT
41533-54500 - COMMERCIAL INSURANCE
41533-54501 - SELF-INSUR LIAB CLAIMS
41533-54600 - R&M -BUILDINGS
41533-54601 - REPAIR & MAINT-VEHICLES
41533-54607 - REPAIR & MAINT-SOD
41533-54610 - REPAIR & MAINT-METERS
41533-54611 - REPAIR & MAINT-TANKS
41533-54612 - REPAIR & MAINT-SYSTEMS
41533-54614 - REPAIR & MAINT-EQUIP-TREATMEN
41533-54623 - REPAIR & MAINT-IT EQUIP
41533-54624 - REPAIR & MAINT-WATER WELLS
41533-54631 - REPAIR & MAINT-SECURITY SYSTE
41533-54632 - R&M -METER REPLACEMENTS
41533-54633 - R&M METERS FOR NEW CUSTOMER
41533-54640 - REPAIR & MAINT-COPIERS
41533-54700 - PRINTING
41533-54800 - ADVERTISING
41533-54900 - OTHER CURRENT CHARGES
41533-54906 - ADMINISTRATIVE SERVICES
41533-54907 - UNCOLLECTIBLE ACCOUNTS
41533-54909 - BANK SERVICE CHARGES
41533-54912 - SECURITY/MONITORING SERVICE
41533-54918 - PERMIT FEES
41533-54919 - COLLECTION AGENCY FEES
41533-54920 - PAYMENTS IN LIEU OF TAXES
41533-55100 - OFFICE SUPPLIES
41533-55200 - OPERATING SUPPLIES
41533-55200-33001 - OPERATING SUPPLIES-TREA
41533-55200-33002 - OPERATING SUPPLIES-DIST
41533-55200-33003 - OPERATING SUPPLIES -CON
41533-55201 - GAS & OIL
FY 2019
FY 2020
FY 2021
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
-
1,667
42,000
42,000
430,199
350,000
474,000
500,000
1,494
3,167
3,167
3,000
128,993
142,649
118,901
142,834
8,174
20,000
20,000
20,000
15,492
13,033
13,000
13,000
-
333
3,500
3,500
16,111
-
-
-
-
11,000
11,000
11,000
860,066
385,000
436,000
400,000
45,597
61,000
45,000
60,000
-
1,500
1,500
5,500
6,999
15,000
15,000
15,000
485
25,000
31,000
10,000
-
1,325,000
425,000
107,000
-
496,118
250,000
250,000
1,035
1,000
1,000
1,000
35,782
28,033
31,000
31,000
960
1,500
1,500
1,500
2,777
3,000
3,000
3,000
395,698
444,964
484,958
466,671
10,246
11,000
11,000
11,000
12,811
12,000
15,711
18,100
15,459
15,000
18,000
18,000
119
8,000
8,000
8,000
1,923
1,000
1,000
1,000
95,983
95,983
101,742
96,469
3,901
4,567
5,000
4,500
19,910
21,667
-
-
-
-
10,000
10,000
-
-
10,000
10,000
-
-
300
300
47,817
60,333
50,000
60,000
147
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
PUBLIC SERVICES
41533 - WATER (Cont.)
41533-55202 - TIRES & BATTERIES
41533-55203 - UNIFORMS
41533-55204 - MINOR EQUIPMENT
41533-55204-33001 - MINOR EQUIPMENT-TREATM
41533-55204-33002 - MINOR EQUIPMENT-DISTRI
41533-55204-33003 - MINOR EQUIPMENT-CONST
41533-55204-33110 - MINOR EQUIPMENT ES ADM
41533-55205 - SAFETY EQUIPMENT
41533-55207 - CHLORINE
41533-55208 - CORROSION CONTROL
41533-55209 - SAFETY SHOES
41533-55210 - LABORATORY SUPPLIES
41533-55212 - COMMUNITY RELATIONS
41533-55218 - WATER CONSERVATION SUPPLIES
41533-55219 - SOFTWARE RENEWALS/SUPPORT
41533-55221-99002 - EOC EQPT & SUPP DORIAN
41533-55299 - UNBILLED FUEL USAGE
41533-55400 - SUBSCRIPTIONS & DUES
41533-55401 - TRAINING & EDUCATION
41533-55401-33001 - TRAINING & EDUCATION-TR
41533-55401-33002 - TRAINING & EDUCATION-D
41533-55409 - LICENSES & CERTIFICATIONS
OPERATING EXPENSES
41533-66300 - CAP OUT -OTHER IMPROVEMENT
41533-66300-33118 - CAP -IMP HIGHSVC PUMPBL
41533-66300-33119 - CAP -IMP SUNBURST WALL
41533-66300-95111 - CAP OUT-OTH IMP BOAT RM
41533-66300-95113 - CAP OUT-OTH IMP STR SCA
FY 2019
REVISED
ACTUAL BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
5,047
6,067
6,000
6,000
10,420
7,975
11,000
11,000
36,591
30,667
-
-
-
-
5,000
5,000
-
-
12,500
12,500
-
-
12,500
12,500
-
-
6,000
6,000
3,042
1,267
3,000
3,500
33,061
54,000
35,000
40,000
19,766
12,000
15,000
18,000
3,932
5,167
5,000
5,000
4,749
5,000
5,000
5,000
9,244
12,000
12,000
12,000
263
3,000
3,000
3,000
51,287
55,347
55,347
63,350
909
-
-
-
5,736
-
-
-
3,642
3,000
3,000
3,525
15,142
17,950
-
-
-
-
-
500
-
-
12,000
900
10,178
1,500
1,500
1,610
2,658,420
4,238,568
3,206,508
2,929,395
-
20,000
20,000
-
39,887
-
-
-
-
321,779
325,000
-
81,777
-
16,192
-
-
-
1,500,000
1,200,000
REPLACE EXISTING WATER MAINS WITH LARGER CAPACITY MAINS- STREETSCAPE PHASE 2
LARGER MAINS NEEDED TO SUPPORT FUTURE DEVELOPMENT DOWNTOWN.
..................................................................................................................
41533-66307 - CAP OUT -WATER SYSTEM 3,335 - -
AIR RELEASE VALVE REPLACEMENTS TO THE WATER SYSTEM
ENVIRONMENTAL SERVICES RECENTLY UPGRADED THE SECURITY SOFTWARE PROGRAM
FROM MASC TO GENTEC AND THE DOOR HARDWARE NEEDS TO ALSO BE UPGRADED.
..................................................................................................................
148
1,200,000
110,000
10,000
CITY OF CLERMONT, FLORIDA
d'
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019 FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL BUDGET PROJECTED
ADOPTED
41S33 - WATER (Cont.)
PRESSURE REDUCING VALVES
100,000
THE VALVES DECREASE THE WATER PRESSURE AS ENTERING INTO A SUBDIVISION.
REPLACE EXISTING LEAKING VALVES TO KEEP HIGH PRESSURE FROM CAUSING WATER
LINE BREAKS.
..................................................................................................................
41533-66307-33120 - CAPOUT-SUMGREEN POLYL - 200,000 200,000
-
41533-66307-38123 - CAP OUT-WTR SYS CDBG 3 - 955,400 -
1,000,000
CONSTRUCT THE REPLACEMENT OF AC WATER MAINS WITH NEW PVC WATER MAINS
..................................................................................................................
1,000,000
41533-66308 - CAP OUT -WATER INVENTORY 67,545 - -
-
41533-66400 - CAP OUT -VEHICLES 103,064 56,597 53,903
610,910
(3) VEHICLES FOR WATER INSPECTIONS, PLANNING AND MANAGEMENT STAFF.
84,000
PROVIDE MOBILITY FOR STAFF TO PERFROM FIELD INSPECTIONS AS DEPARTMENT
VEHICLES ARE NOT AVAILABLE TO USE CAUSING INEFFICIENCIES.
..................................................................................................................
(1) DUMP TRUCK
106,910
12 YARD DUMP TRUCK TO TRANSPORT MATERIALS. CURRENTLY UTILIZE 3 VEHICLES
/PERSONNEL TO ACCOMMODATE MOVING MATERIALS IN SEVERAL TRIPS SAVING TIME AND
FUEL AND BE AVAILABLE FOR OTHER ES DIVISIONS.
..................................................................................................................
(1) VACUUM EXCAVATION VEHICLE -WATER
420,000
TO MAKE WATER LEAK REPAIRS MORE EFFICIENTLY LEADING TO RESTORATION OF
SERVICE BY REDUCING RESPONSE TIME AND REDUCE REPAIR TIME BY HALF. WILL ALLOW
OPERATOR TO SEE WHERE SERVICE LINES, GAS LINES, ELECTRIC LINES AND ANY OTHER
UTILITIES ARE LOCATED MAKING TASK SAFER AND DECREASING DAMAGES TO OTHER
UTILITIES DURING THE WATER LEAK REPAIR.
..................................................................................................................
41533-66401 - CAPITAL EQUIPMENT
160,730 270,000 270,000 85,300
(1) REPLACEMENT OF COMPLIANCE INSTRUMENTATION - GREATER HILLS WATER TREATMENT
5,500
PLANT
CHLORINE & PH ANALYZER - DEP REQUIRED READING EQUIPMENT EXISTING UNITS
REQUIRE REOCCURING MAINTENANCE.
..................................................................................................................
(1) REPLACEMENT OF COMPLIANCE INSTRUMENTATION - SUNBURST WTP
5,500
CHLORINE & PH ANALYZER - DEP REQUIRED READING EQUIPMENT EXISTING UNITS
REQUIRE REOCCURING MAINTENANCE.
..................................................................................................................
(1) COMPUTER REPLACEMENT IN ORDER TO BE ABLE TO RUN ALL REQUIRED SOFTWARE TO
6,000
PERFORM FUNCTIONS.
..................................................................................................................
(1) MOBILE MESSAGE BOARD ON TOWABLE TRAILER WITH MODEM.
14,800
TO INFORM RESIDENTS OF PLANNED UTILITY WORK TO ALLOW FOR IMMEDIATE
INFORMATION OF FLOW TESTING AND SHUTOFFS IN ORDER TO MAKE REPAIRS.
..................................................................................................................
(1) DRUM ROLLER
53,500
47"CATERPILLAR DOUBLE DRUM COMPACTOR 5400 LBS TO REPAIRIRESTORE ROADS AFTER
WATERMAIN BREAKS.
..................................................................................................................
41533-66404 - CAP OUT -SOFTWARE 15,328 - 3,715 50,400
149
CITY OF CLERMONT, FLORIDA
d'
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
43533 - WATER (Cont.)
(1) ($50,400) MANDATORY NEPTUNE SOFTWARE UPGRADE TO NEPTUNE 360 SOFTWARE DUE
50,400
TO ADOBE NO LONGER BEING SUPPORTED
..................................................................................................................
41533-66404-33113 - CAP OUT-S-WARE-ASSET M
1,938
-
2,145
-
41533-66900 - CAP OUT -PRO SVC
3,494
881,943
75,000
300,000
WEST WATER SYSTEM ENGINEERING
300,000
IMPROVEMENTS TO SYSTEM HYDRAULICS AND WATER RELIABILITYAND IMPROVE FIRE
PROTECTION BY REPLACING 6" AND 8"ASBESTOS CEMENT PIPE.
..................................................................................................................
41533-66900-33114 - CAP -PRO SVC W WTR SYSI
-
500,000
500,000
-
41533-66900-33115 - CAP OUT -PS JOHN LK WTRM
31,911
-
-
-
41533-66900-33117 - CAPOUT-PS W SIDE LP PH#
40,060
-
-
-
41533-66900-33118 - CAP -PS HIGHSVC PUMPBLD
2,531
-
-
-
41533-66900-33119 - CAP -PS SUNBURST WALL 3
45,704
-
4,024
-
41533-66900-38123 - CAPOUT-PROSVC CDBG FFY
70,470
87,717
20,000
11,000
DESIGN THE REPLACEMENT OF AC WATER MAINS WITH NEW PVC WATER MAINS
..................................................................................................................
11,000
41533-66900-95113 - CAP -PS DTWN CORR STSCA
-
-
650
-
CAPITAL OUTLAY
667,774
3,293,436
2,990,629
3,367,610
41533-77119 - DEBT SVC-2009 BOND PRIN
-
264,600
264,600
-
41533-77122 - DEBT SVC-2017 W/S BOND PRIN
-
33,480
33,480
307,800
41533-77219 - DEBT SVC-2009 BOND INTEREST
41,385
4,630
4,630
-
41533-77222 - DEBT SVC-2017 W/S BOND INTER
92,038
91,510
91,510
87,449
41533-77300 - PAY AGENT FEES
145
-
-
-
DEBT SERVICE
133,567
394,220
394,220
395,249
TOTAL WATER FUND
5,309,001
10,004,535
8,580,836
9,011,427
43533 - WATER IMPACT FEE
43533-53154 - PRO SVCES-INVESTMENT ADVISOR
1,124
1,400
1,149
1,149
43533-54909 - BANK SERVICE CHARGES
586
600
572
659
OPERATING EXPENSES
1,710
2,000
1,721
1,808
43533-66201-33110 - CAP OUT-BLDGS-ES ADMIN
50,383
-
-
-
43533-66307 - CAP OUT -WATER SYSTEM
-
300,000
-
-
43533-66307-33112 - CAP OUT-WTRSYS LOW FL
-
1,900,000
-
1,900,000
CONSTRUCT LOWER FLORIDAN ACQUIFER WELL - PUMP, BUILDING, CONTROLS 1,900,000
ADDITION OF PUMPING CAPACITY NEEDED FOR POTABLE WATER DEMANDS.
..................................................................................................................
150
CITY OF CLERMONT, FLORIDA d'
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019 FY 2020 FY 2021
PUBLIC SERVICES
REVISED
ACTUAL BUDGET PROJECTED ADOPTED
43533 - WATER IMPACT FEE (Cont.)
43533-66307-33115 - CAP OUT-WTR SYS JOHNLK - 500,000 - 250,000
JOHNS LAKE ROAD MAIN UPSIZING WILL NEED TO ROLLOVER FY20 $500KTO FY21 250,000
UPSIZE THE WATER MAIN FROM CW HARRELL ROAD TO JOHNS LAKE ROAD TO 12" TO
INCREASE CAPACITY.
..................................................................................................................
43533-66307-49000 - CAP-WTR SYS MAINS PW F - - - 300,000
CONSTRUCTION OF NEW WATER MAINS FOR THE NEW PUBLIC WORKS FACILITY 300,000
..................................................................................................................
43533-66900-33107 - CAP -PRO WTR EXT S SECTO 5,310 - 10,000 -
43533-66900-33110 - CAP OUT-PROSVC ES ADM/ 800 - - -
43533-66900-33112 - CAP OUT-PROSVC LOW FL A - 500,000 - 500,000
DESIGN LOWER FLORIDAN AQUIFER WELL - PUMP, BUILDING, CONTROLS 500,000
..................................................................................................................
CAPITAL OUTLAY
56,493
3,200,000
10,000
2,950,000
TOTAL WATER IMPACT FEE FUND
58,203
3,202,000
11,721
2,951,808
EXPENDITURES
PUBLIC SERVICES
42535 - SEWER
42535-12100 -
REGULAR SALARIES
42535-12120 -
OVERTIME SALARIES
42535-12220 -
FICA
42535-12240 -
DEFINED CONTRIBUTION PENSION
42535-12300 -
GROUP INSURANCE
42535-12305 -
LIFE INSURANCE
42535-12315 -
EMPLOYEE ASSISTANCE PLAN
42535-12400 -
WORKERS COMPENSATION
PERSONNEL
SERVICES
42535-53100 -
PRO SVCS-GENERAL
42535-53128 -
BACKGROUND INVESTIGATIONS
42535-53129 -
DRUG SCREENS
42535-53130 -
MEDICAL SERVICES
42535-53150 -
PRO SVCES- LABORATORY
42535-53154 -
PRO SVCES-INVESTMENT ADVISOR
42535-53168 -
PRO SVCES-SAFETY TRAINING
FY 2019
FY 2020
FY 2021
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
1,176,541
1,412,361
1,322,922
1,522,470
55,630
26,400
48,478
28,000
90,578
99,820
99,349
108,963
88,579
142,008
117,484
135,451
377,672
370,940
302,155
409,867
3,493
4,441
3,897
4,796
639
773
684
788
13,960
15,184
17,394
18,982
1,807,093
2,071,927
1,912,363
2,229,317
7,951
66,118
20,313
107,500
676
1,517
1,517
1,500
572
517
500
500
1,118
1,500
1,500
1,500
27,367
24,000
25,000
32,000
3,308
4,000
3,382
3,382
4,643
5,000
5,000
1,500
151
CITY OF
CLERMONT, FLORIDA
d'
FISCAL
YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL BUDGET
PROJECTED
ADOPTED
42535 -
SEWER
(Cont.)
42535-53169
- PRO SVCES-UTILITY LOCATES
2,167
2,500
2,500
2,500
42535-53186
- PRO SVC-DOCUMENT IMAGING
-
4,214
3,000
3,000
42535-53192
- PRO SVCS-SEWER READINGS
-
22,500
-
22,500
42535-53401
- CONTRACT SVCS-GENERAL
6,182
4,333
4,000
4,000
42535-53402
- CONTRACT SVCS-CLEANING
2,832
2,400
2,400
2,400
42535-53403
- CONTRACT SVCS-MOWING
7,730
7,000
7,000
2,100
42535-53404
- CONTRACT SVCES-PEST CONT
349
2,400
-
2,400
42535-53410
- CONTRACT SVCES-ODOR CONTRO
58,300
60,000
60,000
70,000
42535-53417
- CONTRACT SVCS-GATE MAINTENA
1,200
800
1,200
1,200
42535-54001
- TRAVEL & PER DIEM
2,628
9,233
2,000
2,000
42535-54001-33001
- TRAVEL & PER DIEM - TREA
-
-
176
-
42535-54001-33004
- TRAVEL & PER DIEM - COLL
-
-
3,400
2,400
42535-54101
- TELEPHONE
37,277
25,400
34,757
37,000
42535-54102
- INTERNET SERVICE
3,581
15,000
4,640
5,000
42535-54200
- POSTAGE & FREIGHT
19,630
15,000
20,000
20,000
42535-54301
- WATER & SEWER SERVICE
10,228
15,000
10,700
15,000
42535-54304
- SOLID WASTE DISPOSAL FEES
4,248
1,667
2,200
2,500
42535-54307
- ELECTRIC & GAS SVC-EAST PLANT
446,218
375,000
492,000
488,000
42535-54308
- ELECTRIC & GAS SVC-W LIFT STA
63,634
67,000
67,000
67,000
42535-54309
- ELECTRIC & GAS SVC-E LIFT STA
276,782
300,000
272,000
280,000
42535-54310
- SLUDGE DISPOSAL -EAST
194,678
200,000
225,000
225,000
42535-54400
- RENTALS -EQUIPMENT
586
2,167
2,000
2,000
42535-54500
- COMMERCIAL INSURANCE
161,356
178,470
156,206
187,856
42535-54501
- SELF-INSUR LIAB CLAIMS
13,146
-
-
-
42535-54600
- R&M -BUILDINGS
8,850
10,000
10,000
10,000
42535-54601
- REPAIR & MAINT-VEHICLES
33,843
40,333
40,000
40,000
42535-54607
- REPAIR & MAINT-SOD
-
333
300
300
42535-54612
- REPAIR & MAINT-SYSTEMS
28,535
45,000
35,500
35,500
42535-54614
- REPAIR & MAINT-EQUIP-TREATMEN
42,542
81,000
44,000
44,000
42535-54619
- REPAIR & MAINT- EQUIP- LIFT STAT
181,523
128,722
128,000
130,000
42535-54623
- REPAIR & MAINT-IT EQUIP
-
1,000
1,000
1,000
42535-54631
- REPAIR & MAINT-SECURITY SYSTE
485
10,000
12,000
12,000
42535-54640
- REPAIR & MAINT-COPIERS
1,035
1,500
1,000
1,500
42535-54700
- PRINTING
8,565
7,033
8,600
8,600
152
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
PUBLIC SERVICES
42535 - SEWER (Cont.)
42535-54800 -
ADVERTISING
42535-54900 -
OTHER CURRENT CHARGES
42535-54906 -
ADMINISTRATIVE SERVICES
42535-54907 -
UNCOLLECTIBLE ACCOUNTS
42535-54909 -
BANK SERVICE CHARGES
42535-54912 -
SECURITY/MONITORING SERVICE
42535-54920 -
PAYMENTS IN LIEU OF TAXES
42535-55100 -
OFFICE SUPPLIES
42535-55200 -
OPERATING SUPPLIES
42535-55200-33001 - OPERATING SUPPLIES-TREA
42535-55200-33003 - OPERATING SUPPLIES - CO
42535-55200-33004 - OPERATING SUPPLIES -COL
42535-55201 -
GAS & OIL
42535-55202 -
TIRES & BATTERIES
42535-55203 -
UNIFORMS
42535-55204 -
MINOR EQUIPMENT
42535-55204-33001 - MINOR EQUIPMENT-TREATM
42535-55204-33003 - MINOR EQUIPMENT - CONS
42535-55204-33004 - MINOR EQUIPMENT-COLLEC
42535-55205 -
SAFETY EQUIPMENT
42535-55207 -
CHLORINE
42535-55209 -
SAFETY SHOES
42535-55210 -
LABORATORY SUPPLIES
42535-55214 -
POLYMER
42535-55219 -
SOFTWARE RENEWALS/SUPPORT
42535-55221-99002 - EOC EQPT & SUPP DORIAN
42535-55400 -
SUBSCRIPTIONS & DUES
42535-55401 -
TRAINING & EDUCATION
42535-55401-33001 - TRAINING & EDUCATION-TR
42535-55401-33004 - TRAINING & EDUCATION-C
42535-55409 -
LICENSES & CERTIFICATIONS
OPERATING EXPENSES
42535-66300 -
CAP OUT -OTHER IMPROVEMENT
FY 2019
ACTUAL
447
57
386,025
19,967
12,324
13,982
96,492
3,247
11,569
42,666
2,738
10,783
29,188
3,084
77,735
3,529
3,222
23,746
14,510
832
267
9,247
909
2,430,329
REVISED
BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
750
100
377,465
15,000
13,000
20,000
96,492
3,567
11,667
60,333
9,067
10,475
13,917
2,267
70,000
5,167
3,000
21,000
13,107
750
8,400
2,000
2,495,181
27,500
750
100
412,035
15,000
15,236
20,000
102,281
3,700
11,000
50,500
9,000
10,600
8,000
8,000
8,000
2,500
80,000
5,100
3,500
25,000
13,107
750
2,150
4,100
2,000
2,522,200
27,500
(4) ADDITIONAL SECURITY CAMERAS
..............................................................153.................................................
750
100
453,853
15,000
17,554
20,000
102,058
3,700
5,500
200
5,500
60,000
9,000
11,000
8,000
8,000
8,000
5,000
80,000
5,000
3,500
25,000
13,107
3,150
2,050
2,000
2,742,410
10,000
10,000
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
PUBLIC SERVICES
42535 - SEWER (Cont.)
42535-66300-95111 - CAP OUT-OTH IMP BOAT RA
42535-66305 - CAP OUT -SEWER SYSTEM
FY 2019
REVISED
ACTUAL BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
49,264 - 34,181
- 1,029,842 100,000
42535-66305-35108 - SEWER SYS-MANHOLE/LAT
40,675
-
100,000
PERFORM LATERAL LINING TO HELP PREVENT SEWER BACKUP
..................................................................................................................
42535-66305-35116 - CAPOUT-SWRSYS BARBLP F
119,788
-
3,711
42535-66305-35117 - CAP-HERIT HILL FORCE MN
54,753
113,247
133,305
42535-66321 - LIFT STATION IMPROVEMENTS
351,940
1,073,315
400,000
LIFT STATION PIPE AND VALVE UPGRADES
EXISTING DUCTILE IRON PUMP DISCHARGE PIPES CHANGED TO HDPE MATERIAL PIPES IN
ORDER TO AVOID FAILURES.
..................................................................................................................
42535-66321-35104 - LS PUMP REPLACE 35104
510,014
400,000
414,239
LIFT STATION SUBMERSIBLE PUMPS
REPLACE PUMPS THAT HAVE MET OR SURPASSED PUMP LIFE TO AVOID FAILURES.
..................................................................................................................
42535-66323 - CAP OUT RECLAIMED WATER
-
-
-
HIGH SERVICE EFFLUENT TRANSFER PUMP
..................................................................................................................
42535-66400 - CAP OUT -VEHICLES
148,076
-
-
42535-66401 - CAPITAL EQUIPMENT
19,904
597,922
247,571
42535-66401-99003 - CAP OUT-EQPT COVID-19 9
-
-
1,137
42535-66404 - CAP OUT -SOFTWARE
2,941
-
11,145
42535-66404-33113 - CAP OUT-S-WARE-ASSET M
1,938
-
245
42535-66900 - CAP OUT -PRO SVC
3,494
81,944
70,920
42535-66900-35116 - CAP -PRO SVC BARBADOSLO
16,944
-
402
42535-66900-35117 - PRO-HERIT HILL FORCE MN
11,210
1,040
1,850
CAPITAL OUTLAY
1,330,940
3,324,810
1,546,206
42535-77119 - DEBT SVC-2009 BOND PRINCIPAL
-
470,400
470,400
42535-77122 - DEBT SVC-2017 W/S BOND PRINC
-
59,520
59,520
42535-77219 - DEBT SVC-2009 BOND INTEREST
74,405
8,232
8,232
42535-77222 - DEBT SVC-2017 W/S BOND INTER
163,622
162,685
162,685
42535-77300 - PAY AGENT FEES
258
-
-
150,000
150,000
90,000
90,000
400,000
400,000
75,000
75,000
725,000
547,200
155,465
DEBT SERVICE 238,285 700,837 700,837 702,665
154
EXPENDITURES
PUBLIC SERVICES
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
FY 2019
REVISED
ACTUAL BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
TOTAL SEWER FUND 5,806,647 8,592,755 6,681,606 6,399,392
44535 - SEWER IMPACT FEE
44535-53154 - PRO SVCES-INVESTMENT ADVISOR
4,686
5,000
4,822
4,822
44535-54909 - BANK SERVICE CHARGES
2,446
2,500
2,400
2,765
OPERATING EXPENSES
7,132
7,500
7,222
7,587
44535-66201-35114 - CAP OUT-BLDG -WWTF EXP
273,994
6,058,064
2,076,093
15,000,000
WWTF EXPANSION CONSTRUCTION BASED ON MASTER PLAN.
..................................................................................................................
15,000,000
44535-66305-49000 - CAP -SEWER SYS PUBWORK
-
-
-
800,000
CONSTRUCT NEW GRAVITY SEWER, LIFT STATION AND FORCEMAIN TO SERVE THE
NEW PUBLIC
800,000
WORKS FACILITY.
..................................................................................................................
44535-66401 - CAPITAL EQUIPMENT
-
360,000
350,000
-
44535-66900-35112 - CAP OUT -PS SOUTH SECTO
5,310
-
10,000
-
44535-66900-35114 - CAP OUT -PS WWTF EXPANS
75,663
1,516,777
200,000
900,000
WWTF EXPANSION DESIGN BASED ON MASTER PLAN.
..................................................................................................................
900,000
44535-66900-35115 - CAP -PS REL FORCMN JOHN
-
596,642
-
-
CAPITAL OUTLAY
354,968
8,531,483
2,636,093
16,700,000
TOTAL SEWER IMPACT FEE FUND
362,100
8,538,983
2,643,315
16,707,587
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
45538 - STORMWATER
45538-12100 - REGULAR SALARIES
296,454
486,229
462,991
515,949
45538-12120 - OVERTIME SALARIES
13,024
6,750
6,687
6,750
45538-12220 - FICA
22,564
33,618
34,608
37,303
45538-12240 - DEFINED CONTRIBUTION PENSION
22,500
47,430
39,134
47,528
45538-12300 - GROUP INSURANCE
136,145
168,692
138,998
174,376
45538-12305 - LIFE INSURANCE
896
1,524
1,397
1,625
45538-12315 - EMPLOYEE ASSISTANCE PLAN
201
336
315
338
45538-12400 - WORKERS COMPENSATION
8,662
8,988
9,828
11,260
45538-12500 - UNEMPLOYMENT COMPENSATION
(192)
-
-
-
PERSONNEL SERVICES
500,253
753,567
693,958
795,129
45538-53100 - PRO SVC-GENERAL
-
56,118
-
10,000
155
CITY OF
CLERMONT, FLORIDA
d'
FISCAL
YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL BUDGET
PROJECTED
ADOPTED
4SS38 -
STORMWATER (Cont.)
45538-53128
- BACKGROUND INVESTIGATIONS
363
100
100
100
45538-53129-
DRUG SCREENS
143
400
400
400
45538-53130-
MEDICAL SERVICES
390
400
400
400
45538-53154
- PRO SVCES-INVESTMENT ADVISOR
-
250
-
-
45538-53168
- PRO SVCES-SAFETY TRAINING
1,079
1,000
1,000
1,000
45538-53186
- PRO SVC-DOCUMENT IMAGING
-
4,214
3,000
3,000
45538-53401
- CONTRACT SVCS-GENERAL
1,563
4,000
4,000
4,000
45538-53402
- CONTRACT SVCS-CLEANING
1,456
1,200
1,100
1,200
45538-53402-38110
- CONT SVC-CLEAN VICTOR P
7,843
9,490
9,500
9,500
45538-53403
- CONTRACT SVCS-MOWING
2,256
7,500
7,500
7,500
45538-53404
- CONTRACT SVCS-PEST CONT
-
200
200
200
45538-53404-38110
- CONT SVC-PEST VICT PT 38
102
1,588
1,588
1,588
45538-53412-38110
- CON SVC-ELEV MTC VIC PT
1,365
1,460
1,460
1,460
45538-54001
- TRAVEL & PER DIEM
1,619
500
500
500
45538-54101
- TELEPHONE
1,366
1,000
1,000
1,000
45538-54102
- INTERNET SERVICE
-
1,000
-
500
45538-54200
- POSTAGE & FREIGHT
8,619
8,500
9,500
9,500
45538-54300-38110
- ELEC & GAS SVC VIC PT 38
5,310
3,650
9,300
9,300
45538-54301-38110
- W&S SVC VIC PT 38110
786
1,825
1,800
1,825
45538-54304
- SOLID WASTE DISPOSAL FEES
17,378
25,000
25,000
25,000
45538-54400-
RENTALS -EQUIPMENT
-
500
500
500
45538-54500
- COMMERCIAL INSURANCE
23,464
25,955
36,318
43,790
45538-54501
- SELF-INSUR LIAB CLAIMS
500
-
-
-
45538-54600
- REPAIR & MAINT-BUILDINGS
2,250
-
-
-
45538-54600-38110
- R&M -BUILDINGS VIC PT 38
437
2,190
2,200
2,200
45538-54601
- REPAIR & MAINT-VEHICLES
25,457
15,000
25,000
20,000
45538-54603
- REPAIR & MAINT-STREETS
-
-
1,000
1,000
45538-54606-38110
- R&M -GROUNDS VIC PT 381
4,735
730
800
730
45538-54607-38110
- R&M -SOD VICT PT 38110
-
365
350
350
45538-54612
- REPAIR & MAINT-SYSTEMS
4,235
20,000
20,000
20,000
45538-54614
- REPAIR & MAINT-EQUIPMENT
1,575
5,000
10,000
10,000
45538-54617-38110
- R&M -FISHING PIERS VP 38
402
2,190
2,200
2,200
45538-54622
- REPAIR & MAINT STORM DRAINS
253
72,000
5,000
5,000
45538-54640
- REPAIR & MAINT-COPIERS
345
200
300
200
156
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
EXPENDITURES
PUBLIC SERVICES
45538 - STORMWATER (Cont.)
45538-54700 -
PRINTING
45538-54800 -
ADVERTISING
45538-54900 -
OTHER CURRENT CHARGES
45538-54904-38110 - AQUATIC WEED CTRL VIC P
45538-54906 -
ADMINISTRATIVE SERVICES
45538-54907 -
UNCOLLECTIBLE ACCOUNTS
45538-54909 -
BANK SERVICE CHARGES
45538-54912-38110 - SEC/MON SVC VIC PT 3811
45538-54918 -
PERMIT FEES
45538-54920 -
PAYMENTS IN LIEU OF TAXES
45538-55100 -
OFFICE SUPPLIES
45538-55200 -
OPERATING SUPPLIES
45538-55200-38110 - OPERATING SUPP VIC PT 38
45538-55201 -
GAS & OIL
45538-55202 -
TIRES & BATTERIES
45538-55203 -
UNIFORMS
45538-55204 -
MINOR EQUIPMENT
45538-55205 -
SAFETY EQUIPMENT
45538-55209 -
SAFETY SHOES
45538-55212 -
COMMUNITY RELATIONS
45538-55219 -
SOFTWARE RENEWALS/SUPPORT
45538-55221-99002 - EOC EQPT & SUPP DORIAN
45538-55400 -
SUBSCRIPTIONS & DUES
45538-55401 -
TRAINING & EDUCATION
OPERATING EXPENSES
45538-66300 -
CAP OUT -OTHER IMPROVEMENT
45538-66306 -
CAP OUT-STORMWATER SYSTEM
FY 2019
REVISED
ACTUAL BUDGET
CLER ONT
Choice of Champions
FY 2020 FY 2021
PROJECTED ADOPTED
3,807
3,000
3,000
3,000
-
500
500
500
29
100
100
100
5,100
7,200
7,200
7,200
91,575
123,695
135,771
148,757
7,689
2,500
2,500
2,500
4,265
4,500
5,525
6,365
-
2,106
2,100
2,100
8,488
500
500
500
4,423
4,423
4,688
4,269
233
500
500
500
5,587
4,000
4,000
4,000
1,123
1,168
1,200
1,200
19,404
18,000
20,000
20,000
4,840
3,600
6,000
5,000
2,677
3,000
3,000
3,000
3,944
4,000
4,000
4,000
1,245
1,000
1,000
1,000
1,352
1,500
1,600
1,500
1,640
3,000
3,000
3,000
1,990
1,200
1,300
1,300
168
-
-
-
267
1,200
1,000
1,000
1,320
2,500
2,425
2,500
286,454
466,717
391,925
417,234
-
5,000
-
-
-
50,000
50,000
50,000
CONSTRUCTION OF STORMWATER PROJECTS TO IMPROVE THE QUALITY OF RUNOFF IN THE CHAIN
OF LAKES
..................................................................................................................
45538-66306-38110 - CAP OUT -VICTORY POINTE 58,592 - -
45538-66306-38123 - CAP OUT-STRMWTR SYS CD - 369,000 -
CDBG CONSTRUCTION DRAINAGE IMPROVEMENTS
..................................................................................................................
45538-66306-95111 - CAP-ST WTR SYS BOAT RM 24,236 - 29,645
50,000
369,000
369,000
157
CITY OF CLERMONT, FLORIDA d'
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019 FY 2020 FY 2021
PUBLIC SERVICES
REVISED
ACTUAL BUDGET PROJECTED ADOPTED
45538 - STORMWATER (Cont.)
45538-66400 - CAP OUT -VEHICLES 35,466 - - 250,000
(1) REPLACEMENT REAR BRUSH SWEEPER WITH VACUUM STREET SWEEPER 250,000
REPLACE 2015 #5279 REAR BRUSH SWEEPER WITH 240,000 ENGINE MILES. REPLACING REAR
BRUSH COST $6,100/YEAR WHICH WOULD BE ELIMINATED BY THE VACUUM STYLE.
..................................................................................................................
45538-66401 - CAPITAL EQUIPMENT 9,310 45,860 41,778 -
45538-66900 - CAP OUT -PRO SVC - 250,000 89,000 -
45538-66900-38110 - CAP OUT -PS VICTORY POIN 19,764 - 680 -
45538-66900-38123 - CAPOUT-PROSVC CDBG FFY 27,405 33,969 19,000 8,000
CDBG DESIGN DRAINAGE IMPROVEMENTS
..................................................................................................................
8,000
CAPITAL OUTLAY
174,773
230,103
677,000
753,829
45538-77120-20000 - DEBTSVC-2017 PRIN MSTP
-
274,371
274,371
281,630
45538-77220-20000 - DEBTSVC-17 MP LOAN INT
121,408
116,628
116,628
109,317
DEBT SERVICE
121,408
390,999
390,999
390,947
TOTAL STORMWATER FUND
1,082,888
2,365,112
1,706,985
2,280,310
EXPENDITURES
FY 2019
FY 2020
FY 2021
PUBLIC SERVICES
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
49534 - SANITATION
49534-12100 - REGULAR SALARIES
817,255
908,349
822,464
928,572
49534-12120 - OVERTIME SALARIES
18,563
11,500
62,382
12,000
49534-12220 - FICA
59,827
64,237
63,329
65,004
49534-12240 - DEFINED CONTRIBUTION PENSION
58,173
91,985
82,992
86,001
49534-12300 - GROUP INSURANCE
333,594
245,022
225,051
288,512
49534-12305 - LIFE INSURANCE
2,405
2,861
2,494
2,925
49534-12315 - EMPLOYEE ASSISTANCE PLAN
486
516
449
504
49534-12400 - WORKERS COMPENSATION
21,491
22,316
24,404
27,958
49534-12500 - UNEMPLOYMENT COMPENSATION
1,806
-
-
-
PERSONNEL SERVICES
1,313,602
1,346,786
1,283,565
1,411,476
49534-53128 - BACKGROUND INVESTIGATIONS
470
500
500
500
49534-53129 - DRUG SCREENS
451
1,000
1,000
1,000
49534-53130- MEDICAL SERVICES
618
500
500
500
49534-53154 - PRO SVCS-INVESTMENT ADVISOR
960
1,000
982
982
158
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
PUBLIC SERVICES
49534 - SANITATION (Cont.)
49534-53168 -
PRO SVCES-SAFETY TRAINING
49534-53401 -
CONTRACT SVCS-GENERAL
49534-53417 -
CONTRACT SVCS-GATE MAINTENA
49534-54001 -
TRAVEL & PER DIEM
49534-54101 -
TELEPHONE
49534-54200 -
POSTAGE & FREIGHT
49534-54304 -
SOLID WASTE DISPOSAL FEES
49534-54500 -
COMMERCIAL INSURANCE
49534-54501 -
SELF-INSUR LIAB CLAIMS
49534-54600 -
R&M -BUILDINGS
49534-54601 -
REPAIR & MAINT-VEHICLES
49534-54614 -
REPAIR & MAINT-EQUIPMENT
49534-54640 -
REPAIR & MAINT-COPIERS
49534-54700 -
PRINTING
49534-54800 -
ADVERTISING
49534-54900 -
OTHER CURRENT CHARGES
49534-54906 -
ADMINISTRATIVE SERVICES
49534-54907 -
UNCOLLECTIBLE ACCOUNTS
49534-54909 -
BANK SERVICE CHARGES
49534-54920 -
PAYMENTS IN LIEU OF TAXES
49534-55100 -
OFFICE SUPPLIES
49534-55200 -
OPERATING SUPPLIES
49534-55201 -
GAS & OIL
49534-55202 -
TIRES & BATTERIES
49534-55203 -
UNIFORMS
49534-55204 -
MINOR EQUIPMENT
49534-55205 -
SAFETY EQUIPMENT
49534-55209 -
SAFETY SHOES
49534-55212 -
COMMUNITY RELATIONS
49534-55219 -
SOFTWARE RENEWALS/SUPPORT
49534-55400 -
SUBSCRIPTIONS & DUES
49534-55401 -
TRAINING & EDUCATION
49534-55409 -
LICENSES & CERTIFICATIONS
OPERATING EXPENSES
FY 2019
FY 2020
FY 2021
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
-
500
500
500
11,482
5,000
24,145
5,000
-
800
816
800
30
500
-
-
2,502
1,500
1,500
1,500
8,619
5,000
8,000
8,500
514,530
504,000
520,000
530,000
14,867
16,436
52,389
63,059
2,633
-
-
-
2,447
500
500
500
125,031
216,000
216,000
216,000
536
500
2,665
500
1,035
450
1,000
1,000
4,901
15,000
8,000
8,000
40
500
500
500
29
100
100
100
238,356
207,736
212,436
233,241
17,184
10,000
10,000
10,000
6,834
7,000
8,517
9,812
1,085
1,085
1,150
2,234
378
500
532
500
59,668
84,000
84,000
84,000
159,547
180,000
170,000
170,000
47,301
36,000
45,000
45,000
6,371
6,000
6,000
6,000
2,018
-
2,740
2,500
445
500
572
500
3,095
5,000
3,400
3,400
8,222
6,000
6,000
6,000
2,762
3,200
3,200
3,200
518
450
450
450
89
1,000
1,000
1,000
89
-
100
100
1,245,140
1,318,257
1,394,194
1,416,878
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
PUBLIC SERVICES
49534 - SANITATION (Cont.)
FY 2019
ACTUAL
FY 2020
FY 2021
REVISED
BUDGET PROJECTED ADOPTED
49534-66201-49000 - CAP-BLDG PW FAC 49000 -
2,250,000
-
2,250,000
CONSTRUCTION OF NEW SANITATION PORTION OF NEW PUBLIC WORKS FACILITY
..................................................................................................................
2,250,000
49534-66300 - CAP OUT -OTHER IMPROVEMENT 43,983
-
-
65,000
CONSTRUCTION OF 300'X10' STAND ALONE ALUMINUM ROOF SYSTEM TO BE LOCATED
ALONG THE
65,000
SOUND WALL AT THE EWWTP
PROVIDES COVER FOR A SINGLE LOCATION FOR ALL ON SITE TRASH BIN INVENTORY AND
PROTECTION FROM RAIN AND DURING INCLEMENT WEATHER.
..................................................................................................................
49534-66400 - CAP OUT -VEHICLES 697,709
916,556
893,637
-
49534-66401 - CAPITAL EQUIPMENT -
50,000
47,619
-
49534-66900-49000 - CAP -PRO SVC PW FAC 4900 140,281
153,469
33,000
40,000
DESIGN OF NEW SANITATION PORTION OF NEW PUBLIC WORKS FACILITY
..................................................................................................................
40,000
CAPITAL OUTLAY 881,973
974,256
3,370,025
2,355,000
49534-77120-20000 - DEBT SVC-2017 LOAN PRIN -
84,540
84,540
86,776
49534-77220-20000 - DEBTSVC-17 MP INTEREST 37,408
35,936
35,936
33,683
DEBT SERVICE 37,408
120,476
120,476
120,459
TOTAL SANITATION FUND 3,478,123
6,155,544
3,772,491
5,303,813
TOTAL PUBLIC SERVICES 23,082,562 52,047,306 28,955,556 53,771,423
160
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURE SUMMARY
TRANSFERS
FY 2019
ACTUAL
OTHER USES 6,543,453
TRANSFERS TOTAL 6,543.453
FY 2020
REVISED
BUDGET PROJECTED
5,795,051 5,909,257
5,795,051 5,909,257
FY 2021
ADOPTED
5,900,221
5,900,221
161
CITY OF CLERMONT, FLORIDA d'
FISCAL YEAR 2021 BUDGET
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
TRANSFERS
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
10581 - TRANSFERS -OUT
10581-99113-72118 - TFR TO DSF/220 ARC 7211
218,472
218,467
218,467
218,467
OTHER USES
218,472
218,467
218,467
218,467
TOTAL GENERAL FUND
218,472
218,467
218,467
218,467
11581 - TRANSFERS -OUT
11581-99101 - TRANS TO GENERAL FUND
-
17,033
17,033
-
11581-99105 - TRANS TO WATER FUND
513
-
-
-
OTHER USES
513
17,033
17,033
-
TOTAL BUILDING SERVICES FUND
513
17,033
17,033
-
12581 - TRANSFERS -OUT
12581-99113-20000 - TFR TO DSF-MASTER PLN 2
1,608,228
1,608,421
1,608,421
1,607,946
12581-99113-21101 - TFR TO DSF POLICE HQ 211
422,280
422,276
422,276
285,792
OTHER USES
2,030,508
2,030,697
2,030,697
1,893,738
TOTAL INFRASTRUCTURE FUND
2,030,508
2,030,697
2,030,697
1,893,738
14581 - TRANSFERS -OUT
14581-99113-20000 - TFR TO DSF MASTER PLAN
321,936
321,978
321,978
321,883
14581-99113-72118 - TFR TO DSF ARC
247,656
247,658
247,658
247,657
OTHER USES
569,592
569,636
569,636
569,540
TOTAL REC IMPACT FEE FUND
569,592
569,636
569,636
569,540
15581 - TRANSFERS -OUT
15581-99113-21101 - TFR TO DSF POLICE HQ 211
-
-
-
136,485
15581-99113-72118 - TFR TO DSF/220 ARC 7211
14,760
14,763
14,763
14,763
OTHER USES
14,760
14,763
14,763
151,248
TOTAL POLICE IMPACT FEE FUND
14,760
14,763
14,763
151,248
41581 - TRANSFERS -OUT
41581-99100 - TFR TO GEN FUND -WATER SALES
963,675
915,000
1,018,570
1,035,000
41581-99101-33116 - TFR TO GEN-CONFIN/TREN
-
46,829
46,829
25,911
41581-99108 - TRANSFER TO SEWER FUND
585
-
-
-
OTHER USES
964,260
961,829
1,065,399
1,060,911
TOTAL WATER FUND
964,260
961,829
1,065,399
1,060,911
42581 - TRANSFERS -OUT
42581-99105 - TRANS TO WATER FUND 7,823
162
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021 BUDGET
d'
CLER ONT
Choice of Champions
EXPENDITURES
FY 2019
FY 2020
FY 2021
TRANSFERS
REVISED
ACTUAL
BUDGET
PROJECTED
ADOPTED
42581 - TRANSFERS -OUT (Cont.)
42581-99112 - TRANSFER TO STORMWATER FUND
7,617
-
-
-
42581-99117 - TFR TO GEN FUND -SEWER SVC FE
1,068,164
1,065,000
1,075,636
1,086,300
OTHER USES
1,083,604
1,065,000
1,075,636
1,086,300
TOTAL SEWER FUND
1,083,604
1,065,000
1,075,636
1,086,300
43581 - TRANSFERS -OUT
43581-99105 - TRANS TO WATER FUND
998,993
330,257
330,257
331,117
OTHER USES
998,993
330,257
330,257
331,117
TOTAL WATER IMPACT FEE FUND
998,993
330,257
330,257
331,117
44581 - TRANSFERS -OUT
44581-99108 - TRANSFER TO SEWER FUND
587,700
587,369
587,369
588,900
OTHER USES
587,700
587,369
587,369
588,900
TOTAL SEWER IMPACT FEE FUND
587,700
587,369
587,369
588,900
45581 - TRANSFERS -OUT
45581-99101 - TRANS TO GENERAL FUND
71,476
-
-
-
OTHER USES
71,476
-
-
-
TOTAL STORMWATER FUND
71,476
-
-
-
49581 - TRANSFERS -OUT
49581-99101 - TRANS TO GENERAL FUND
3,575
-
-
-
OTHER USES
3,575
-
-
-
TOTAL SANITATION FUND
3,575
-
-
-
TOTAL TRANSFERS
6,543,453
5,795,051
5,909,257
5,900,221
163
�E
LERI"(ONT
Choice of Champions
164
CITY OF CLERMONT, FLORIDA
FY 2021 ADOPTED BUDGET
POSITION ALLOCATION SCHEDULE
FULL-TIME
FY 2019
City Clerk
3.00
City Manager
5.00
Finance
10.00
Planning & Development Services
Planning & Development Services
8.70
Community Redevelopment Agency
1.25
Building Services
12.30
Information Technology
6.00
Human Resouces
Human Resources
6.00
Group Self Insurance Fund
0.00
Procurement Services
4.00
Police
Sworn
81.00
Other
7.00
Fire
Firefighters
81.00
Fire Inspection
3.40
Other
4.60
Public Services -Public Works Division
Streets Maintenance
11.90
Grounds Maintenance
18.75
Fleet Maintenance
4.55
Engineering & Inspections
1.30
Facilities Maintenance
9.40
Cemetery
1.00
Economic Development
0.75
Parks & Recreation
Parks & Recreation
5.00
Events
3.00
Arts & Recreation Center
8.00
Performing Arts Center
2.00
Public Services -Environmental Services Division
Water
30.55
Sewer
31.40
Stormwater
13.85
Sanitation
Total Full Time
PART-TIME
Building Services
Police
Other
Parks & Recreation
Parks & Recreation
Events
Arts & Recreation Center
Performing Arts Center
Public Services -Environmental Services Division
Water
Total Part -Time
TEMPORARY
Recreation
P&R
ARC
Building Services- LD
Public Services -Environmental Services Division- LD
Water
Sewer
Stormwater
Total Temporary
Total Positions
FY 2020
3.00
6.35
10.00
5.80
2.00
13.55
7.00
6.00
1.00
3.00
86.00
7.00
81.00
3.40
4.60
11.725
18.225
4.75
1.00
8.65
1.00
0.00
6.00
3.00
8.00
3.00
32.70
32.50
13.95
CL
FY 2021
3.00
6.35
10.00
5.80
2.00
13.55
7.00
6.00
1.00
3.00
86.00
7.00
81.00
3.40
4.60
11.725
18.225
4.75
1.00
8.65
1.00
0.00
6.00
3.00
8.00
3.00
32.70
32.50
13.95
2.00
2.00
2.00
6.00
1.00
1.00
5.00
4.00
4.00
10.00
10.00
10.00
8.00
8.00
8.00
3.00
2.00
2.00
1.00
1.00
1.00
35.00
28.00
28.00
6.00
18.00
18.00
8.00
0.00
0.00
0.00
0.60
1.00
0.00
0.12
0.00
0.00
0.14
0.00
0.00
0.14
0.00
14.00
19.00
19.00
165
�E
LERI"(ONT
Choice of Champions
166
CITY OF CLERMONT, FLORIDA {
CLERMDN-r
FISCAL YEAR 2021 BUDGET
ADOPTED MILLAGE RATES FOR ADOPTED MILLAGE RATES FOR
FY 2020 BUDGET FY 2021 BUDGET
Operating
Debt
Total
Operating
Debt
Total
Citv
Millaae
Millaae
Millaae
Millaae
Millaae
Millaae 1
Eustis
$7.5810
$0.0000
$7.5810
$7.5810
$0.0000
7.5810
Tavares
6.9500
0.2932
7.2432
6.9000
0.2623
7.1623
Winter Haven
6.7900
0.0000
6.7900
6.7900
0.0000
6.7900
Deland
6.7841
0.0000
6.7841
6.7841
0.0000
6.7841
Mount Dora
6.2000
0.0000
6.2000
5.9603
0.0000
5.9603
Oviedo
5.1145
0.1675
5.2820
5.1230
0.1590
5.2820
Ocoee
5.2500
0.0000
5.2500
5.1500
0.0000
5.1500
St. Cloud
5.1128
0.0000
5.1128
5.1128
0.0000
5.1128
Winter Garden
4.5000
0.0000
4.5000
4.5000
0.0000
4.5000
Leesburg
4.2678
0.0000
4.2678
4.1086
0.0000
4.1086 Z
Clermont
4.2061
0.0000
4.2061
4.2061
0.0000
4.2061
TOTAL AVERAGE EXCLUDING CLERMONT $5.9011 $5.8431
1 Disclosed if readily available at time of publishing, otherwise prior year adopted rate restated.
2 Total estimated revenue to be collected from the City's Fire Services Non -Ad Valorem Assessment is $1,746,851.
167
�E
LERI"(ONT
Choice of Champions
168
CITY OF CLERMONT, FLORIDA d
FISCAL YEAR 2021 BUDGET CLERamP
WATER RATES COMPARISON
Based on 10,000 Gallons Consumption
Inside City Limits
Tavares A
Deland
Eustis B
Rate
Citv Rate Structure
Tier
Winter Haven
St. Cloud c
Oviedo
Mount Dora
Ocoee c o
Leesburg E
Clermont
Winter Garden
Tier
Tier
Tier
Tier
Tier
Tier
Tier
Tier
Tier
Tier
AVERAGE EXCLUDING CLERMONT
Base
$17.39
$7.62
$11.28
$6.31
$13.79
$12.78
$10.32
$12.41
$9.33
$5.71
$6.18
Variable
$21.24 s
$29.20 3
$24.76 6
$28.15
$19.31 4
$19.63 1
$19.84 11
$14.80 8
$13.00 9
$11.50 10
$10.30 Z
Total
$38.63
$36.82
$36.04
$34.46
$33.10
$32.41
$30.16
$27.21
$22.33
$17.21
$16.48
$30.76
1 0-3,000 gal - $1.03/1,000; 3,001-10,000 gal - $2.28/1,000; 10,001-15,000 gal - $4.31/1,000; 15,001-30,000
gal - $6.13/1,000; > 30,000 gal - $7.20/1000
Z 0-10,000 gal - $1.03/1,000; 10,001-15,000 gal - $1.27/1,000; > 15,000 gal - $1.53/1,000
0-5,000 gal - $2.11/1,000; 5,001-10,000 gal - $3.48/1,000; 10,001-15,000 - $5.49/1000; > 15,000 gal -
3 $6.54/1000
4 0-3,000 gal - $1.02/1,000; 4,000-6,000 gal - $2.03/1,000; 7,000-12,000 gal - $2.54/1,000; 13,000-18,000 gal
- $3.31; 19,000-30,000 gal - $4.68; > or = 31,000 gal - $6.48/1,000
0-3,000 gal - $1.35/1,000; 3,000-7,000 gal - $1.96/1,000; 7,001-14,000 gal - $3.17/1,000; >14,000 gal -
5 $4.57/1,000
0-8,000 gal - $2.24/1,000; 8,001-20,000 gal - $2.79/1,000; 21,000-30,000 gal - $3.93/1,000; >30,000 gal
6 $8.94/1,000
0-5,000 gal - $2.10/1,000; 5,001-10,000 gal - $3.53/1,000; 10,001-15,000 gal - $3.91/1,000; > 15,000 gal -
$4.45/1000
8 0-6,000 gal - $1.30/1000; 6,000-12,000 gal - $1.64/1,000; 12,000-18,000 gal - $2.06/1000; 18,000-24,000
gal - $5.17/1000; 24,000-30,000 gal - $7.73/1000; >30,000 gal- $9.42/1000
0-4,000 gal - $1.05/1000; 5,000-8,000 gal $1.29/1,000; 9,000-15,000 gal - $1.82/1000; 16,000-33,000 gal -
9 $2.46/1000; >33,000 gal - $4.51/1000
10 1,000-10,000 gal - $1.15/1,000; 11,000-20,000 gal - $1.49/1,000; 21,000-30,000 gal - $2.29/1,000;
>30,000 gal - $3.12/1,000
0-8,977 gal - $1.74/1000; 8,977-17,953 gal - $3.48/1000; 17,953-26,930 gal - $5.21/1000; >26,930 gal -
li $6.95/1000
A Base rate is determined by meter size and residental or commerical accounts. Used 3/4" residential for
computation.
B Base rate is determined on residental or commercial customers. Used residential for computation.
c Base rate is determined by meter size. 3/4" size used for computation.
D Variable charge determined on residental or commercial customers. Used residential for computation.
E Variable charge based on 100s of cubic feet. 1,337 cubic feet = approx. 10,000 gallons.
liW
CITY OF CLERMONT, FLORIDA d'
FISCAL YEAR 2021 BUDGET CLERK f h.
WATER RATES COMPARISON
Based on 10,000 Gallons Consumption
Outside City Limits
Rate
City
Rate Structure
Base
Variable
Total
Tavares
Tier
$21.73
$26.49
Z
$48.22
Eustis A
Tier
$14.11
$30.94
5
$45.05
Winter Haven
Tier
$7.88
$35.20
6
$43.08
St. Cloud B
Tier
$17.23
$24.12
4
$41.35
Oviedo
Tier
$15.98
$24.54
1
$40.52
Mount Dora
Tier
$12.90
$24.80
9
$37.70
Ocoee B °
Tier
$12.78
$17.00
10
$29.78
Leesburg c
Tier
$11.66
$16.26
7
$27.92
Clermont
Tier
$7.14
$14.30
s
$21.44
Winter Garden
Tier
$6.18
$10.30
3
$16.48
Deland
N/A
AVERAGE EXCLUDING CLERMONT AND N/A
$36.68
0-3,000 gal - $1.29/1,000; 3,001-10,000 gal - $2.85/1,000; 10,001-15,000 gal - $5.38/1,000; 15,001-30,000
1 gal - $7.67/1,000; >30,000 gal $9.0011,000
0-3,000 gal - $1.68/1,000; 3,001-7,000 gal - $2.45/1,000; 7,001-14,000 gal - $3.96/1,000; > 14,000 gal -
2 $5.33/1,000
3 0-10,000 gal - $1.0330/1,000; 10,001-15,000 gal - $1.2730/1,000; > 15,000 gal - $1.5339/1,000;
0-3,000 gal - $1.27/1,000; 4,000-6,000 gal - $2.53/1,000; 7,000-12,000 gal - $3.18/1,000; 13,000-18,000
4 gal - $4.13; 19,000-30,000 gal - $5.85/1000; > or = 31,000 gal - $8.10/1,000
1-8,000 gal - $2.90/1,000; 8,001-20,000 gal - $3.61/1,000; 20,001-30,000 gal - $5.08/1,000; >30,000 gal -
5 $11.56/1,000
0-5,000 gal - $2.62/1,000; 5,001-10,000 gal - $4.42/1,000; 10,001-15,000 gal - $4.88/1,000; >15,000 gal -
6 $5.56/1000
0-4,000 gal - $1.31/1000; 5,000-8,000 gal $1.62/1,000; 9,000-15,000 gal - $2.27/1000; 16,000-33,000 gal -
$3.07/1000; >33,000 gal - $5.64/1000
1-10,000 gal - $1.43/1,000; 11-20,000 gal - $1.86/1,000; 21-30,000 gal - $2.86/1,000; > 30,000 gal -
$ $3.91/1,000
0-8,977 gal - $2.18/1,000; 8,977-17,953 gal - $4.34/1,000; 17,953-26,9930 gal - $6.52/; >26,930 gal -
9 $8.69/1,000
0-6,000 gal-$1.30/1000; 6,001-12,000 gal - $1.64/1000; 12,001-18,000 gal - $2.06/1000; > 18,000 gal
io $3.09/1000
A Base rate is determined on residental or commercial customers. Used residential for computation.
B
Base rate is determined by meter size. 3/4" size used for computation.
c Variable charge based on 100s of cubic feet. 1,337 cubic feet = approx. 10,000 gallons.
D Variable charge determined on residental or commercial customers. Used residential for computation.
170
CITY OF CLERMONT, FLORIDA 6
CLERMONT
FISCAL YEAR 2021 BUDGET
SEWER RATES COMPARISON
Based on 10,000 Gallons Consumption
Inside City Limits
Rate
Citv
Rate Structure
Base
Variable
Total
Deland
Flat
$29.40
$48.30
(4.83/1,000)
$77.70
Mount Dora
Flat
$27.91
$47.50
(4.75/1000)
$75.41
Oviedo
Flat
$26.41
$48.50
(4.85/1,000)
$74.91
Tavares
Flat
$22.67
$38.70
(3.87/1,000)
$61.37
St. Cloud A
Flat
$17.13
$43.10
(4.31/1,000)
$60.23
Eustis
Flat
$26.54
$33.20
(3.32/1,000)
$59.74
Winter Haven
Flat
$8.91
$49.30
(4.93/1,000)
$58.21
Ocoee A
Flat
$22.37
$32.02
(3.20/1000)
$54.39
Winter Garden
Flat
$8.84
$34.64
(3.46/1,000)
$43.47
Leesburg
Flat
$24.94
$17.29
(1.73/1,000)
$42.23
Clermont
Flat
$16.41
$21.60
(2.16/1,000)
$38.01
AVERAGE EXCLUDING CLERMONT $60.77
A Base rate is determined by meter size. 3/4" size used for computation.
Ini
CITY OF CLERMONT, FLORIDA 6
CLERMONT
FISCAL YEAR 2021 BUDGET
SEWER RATES COMPARISON
Based on 10,000 Gallons Consumption
Outside City Limits
Rate
City
Rate Structure
Base
Variable
Total
Mount Dora
Flat
$34.88
$59.40
(5.94/1,000)
$94.28
Oviedo
Flat
$33.01
$60.60
(6.06/1,000)
$93.61
Tavares
Flat
$28.33
$48.30
(4.83/1,000)
$76.63
St. Cloud A
Flat
$21.41
$53.80
(5.38/1,000)
$75.21
Eustis
Flat
$33.18
$41.50
(4.15/1,000)
$74.68
Winter Haven
Tier
$11.13
$61.60
(6.16/1,000)
$72.73
Ocoee A
Flat
$25.71
$32.02
(3.20/1,000)
$57.73
Leesburg
Flat
$31.18
$21.61
(2.16/1,000)
$52.79
Clermont
Flat
$20.51
$27.00
(2.70/1,000)
$47.51
Winter Garden
Flat
$8.84
$34.64
(3.46/1,000)
$43.48
Deland
N/A
AVERAGE EXCLUDING CLERMONT & N/A 1 $71.24
A Base rate is determined by meter size. 3/4" size used for computation.
CITY OF CLERMONT, FLORIDA W
ONT
FISCAL YEAR 2021 BUDGET -;-
IRRIGATION RATES COMPARISON
Based on 10,000 Gallons Consumption
Inside City Limits
Rate
City
Rate Structure
Base
Variable
Total
Deland
Tier
$12.61
$51.18
1
$63.79
Oviedo
Tier
$12.78
$44.40
3
$57.18
Mount Dora
Tier
$10.32
$34.80
11
$45.12
Tavares B
Tier
$21.73
$21.24
6
$42.97
Eustis A
Tier
$11.28
$29.40
7
$40.68
St. Cloud B c
Tier
$9.19
$29.25
8
$38.44
Winter Haven
Tier
$6.31
$28.15
s
$34.46
Ocoee
Tier
$12.41
$14.80
4
$27.21
Leesburg
Tier
$5.12
$20.09
9
$25.21
Clermont
Tier
$5.71
$14.90
10
$20.61
Winter Garden
Tier
$6.18
$14.00
z
$20.18
AVERAGE EXCLUDING CLERMONT 1 $39.52
1 0-4,000 gal - $3.68/1,000; 4,000-8,000 - $5.5.74/1,000; 8,000-12,000 - $6.83/1,000; > 12,000 -
$9.99/1,000
Z 0-5,000 gal - $1.27/1,000; 5,000-25,000 gal - $1.53/1,000; > 25,000 gal - $1.88/1,000
3 0-10,000 gal - $4.44/1,000; 10,001-15,000 gal - $6.32/1,000; >15,000 gal - $7.44/1,000
0-6,000 gal - $1.34/1,000; 6,000-12,000 gal - $1.69/1,000; 12,000-18,000 gal - $2.12/1,000; 18,000-
4 24,000 gal - $5.32/1000; 24,000-30,000 gal - $7.97/1000 >30,000 gal - $9.70/1,000
5 0-5,000 gal - $2.10/1,000; 5,001-10,000 gal - $3.53; 10,001-15,000 gal $3.91 >15,000 gal - $4.45/1,000
0-3,000 gal - $1.34/1,000; 3,001-7,000 gal - $1.95/1,000; 7,001-14,000 gal - $3.14/1,000; >14,000 gal -
5 $4.23/1,000
7 1-12,000 gal - $2.94/1,000; 12,001-20,000 gal - $4.14/1,000; > 20,000 gal - $9.41/1,000
0-5,000 gal - $2.54/1000 6,000-10,000 gal - $3.31/1,000; 11,000-18,000 gal - $4.63/1,000; 19,000-30,000
$ gal - $6.48/1,000; 31,000-50,000 gal - $7.77/1,000; >50,000 gal - $9.72/1,000
9 0-7,000 gal - $1.82, 8,000 - 25,000 gal - $2.46, over 25,000 gal - $4.51
10 1,000-10,000 gal - $1.49/1,000; 11,000-30,000 gal - $2.29/1,000; >30,000 gal - $3.12/1,000
11 0-17,953 gal - $3.60/1,000; 17,953-26,930 gal - $5.40/1,000; >26,930 gal - $7.20/1,000
A Base rate determined on residental or commercial customers. Used residential for computation.
B Base rate is determined by meter size. 3/4" size used for computation.
c Used potable as reclaimed water rates for computation.
173
CITY OF CLERMONT, FLORIDA d
FISCAL YEAR 2021 BUDGET C-I
IRRIGATION RATES COMPARISON
Based on 10,000 Gallons Consumption
Outside City Limits
Rate
City
Rate Structure
Base
Variable
Total
Oviedo
Tier
$15.98
$55.50
1
$71.48
Mount Dora
Tier
$12.90
$45.00
$
$57.90
Tavares B
Tier
$21.73
$26.49
2
$48.22
St. Cloud B c
Tier
$11.48
$35.60
4
$47.08
Winter Haven
Tier
$7.88
$35.20
s
$43.08
Eustis A
Tier
$0.00
$36.70
6
$36.70
Leesburg °
Tier
$6.40
$25.10
9
$31.50
Ocoee
Tier
$14.15
$17.00
to
$31.15
Clermont
Tier
$7.14
$18.60
7
$25.74
Winter Garden
Tier
$6.18
$14.03
3
$20.21
Deland
N/A
$0.00
AVERAGE EXCLUDING CLERMONT & N/A $43.04
1 0-10,000 gal - $5.55/1000; 10,001-15,000 gal $7.98/1000; > 15,000 gal $9.30/1000
0-3,000 gal - $1.67/1,000; 3,001-7,000 gal - $2.43/1,000; 7,001-14,000 gal - $3.92/1,000; > 14,000 gal -
2 $5.28/1,000
3 0-5,000 gal - $1.2730/1,000; 5,001-25,000 gal - $1.5339/1,000; > 25,001,000 gal - $1.8840/1,000;
0-5,999 gal - $3.18/1,000; 6,000-10,999 gal - $4.13/1,000; 11,000-18,999 gal - $5.79/1,000; 19,000-
a 30,999 gal - $8.10; 31,000-50,999 gal $9.71; > 51,000 gal - $12.15/1,000
5 0-5,000 gal - $2.62/1,000; 5,001-10,000 gal $4.42; 10,001-15,000 gal $4.88 >15,000 gal - $5.56/1,000
6 1-12,000 gal - $3.67/1,000; 12,001-20,000 gal - $5.17/1,000; > 20,000 gal - $11.76/1,000
7 1-10,000 gal - $1.86/1,000; 11,000-30,000 gal - $2.86/1,000; > 30,000 gal - $3.91/1,000
8 0-17,953 gal - $4.50/1,000; 17,953-26,930 gal - $6.75/1,000; >26,930 gal - $9.00/1,000
9 0-7,000 gal - $2.27, 8,000 - 25,000 gal - $3.07, over 25,000 gal - $5.64
0-6,000 gal - $1.54/1,000; 6,000-12,000 gal - $1.94/1,000; 12,000-18,000 gal - $2.44/1,000; 18,000-
10 24,000 gal - $6.12/1000; 24,000-30,000 gal - $9.16/1000 >30,000 gal - $11.16/1,000
A Base rate determined on residental or commercial customers. Used residential for computation.
B
Base rate is determined by meter size. 3/4" size used for computation.
c Used potable as reclaimed water rates for computation.
174
CITY OF CLERMONT, FLORIDA S
FISCAL YEAR 2021 BUDGET C-I
STORMWATER RATES COMPARISON
Cilty
Total
Oviedo
$10.61
Tavares
$10.00
Deland
$9.30 3
Ocoee
$8.85
Mount Dora
$7.50
Winter Haven
$7.11
St. Cloud
$6.35
Eustis
$6.00 2
Winter Garden
$6.00
Leesburg
$5.50 2
Clermont
$4.91 1
AVERAGE EXCLUDING CLERMONT
1 Rate is $8.18 if no on -site approved drainage
2 Per ERU (2,000 SF of impervious surface)
3 Per EDA (3,100 SF of impervious area)
175
CITY OF CLERMONT, FLORIDA d
CLE
FISCAL YEAR 2021 BUDGET
SANITATION RATES COMPARISON
Cllty
Tavares
Winter Haven
Ocoee
Clermont
Oviedo
Mount Dora
Winter Garden
St. Cloud
Leesburg
Eustis
Deland
AVERAGE EXCLUDING CLERMONT
1 Backyard $14.98
2 Annual on Tax Bill $264.00
Total
$24.77
$22.01
$22.00 2
$21.01
$20.43
$19.73
$19.00
$17.85
$17.13
$16.83
$12.53 1
176
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021
CLER ONT
Chdre a[ Cfump�ons
FIVE YEAR CAPITAL PLAN
re-evaluate
Department Funding Source 01/01/2021 2022 2023
2024 2025 2026
City Clerk
Cemetery 15 acres land design & sitework Plot Sales - - -
- - 1,600,000
Total City Clerk -
-
-
- - 1,600,000
Information Technology
Fiber network conduit installation Infrastructure Fund
Replacement laptops/computers/servers Infrastructure Fund
-
50,000
50,000
50,000 50 000
50,000
50,000
92,000 92,000
92,000 92,000 92,000
Total Information Technology
50,000
142,000 142,000
142,000 142,000 142,000
Police
Replace ent vehicles Infrastructure Fund
New marked veh/egpt (5) new PO's Police Impact Fees
Demuck 12th St PS training site Police Impact Fees
166,500
384,000
384,000
384,000
384,000
384,000
352,100
-
-
-
-
-
-
725,000
-
-
-
-
PS training facility design
Police Impact Fees
-
-
100,000
-
-
-
PS training facility construction
Police Impact Fees
-
-
-
592,305
-
-
Secure storage facility
Police Impact Fees
-
- -
- -
275,000 -
760,000
-
-
Police ex ansion/sub-station
Police Impact Fees
-
-
-
-
1,535,000
Mobile command vehicle
Other
-
-
-
Total Police
518,600
1,384,000 484,000 1,736,305
384,000 1,919,000
Parks & Recreation
Carousel & s lash ark building
Recreation Impact Fees
- 345,000
- 10,000
147,015 163,350
- - -
350,000 - -
54,563 109,125 109,125
-
-
54,563
Doa Dark at the ARC
Recreation Im act Fees
Resod athletic fields
Infrastructure Fund
ARC multipurpose field
Infrastructure Fund
-
159,015
-
-
-
-
Hancock park soccer field 2
Mainsta a audios stem upgrade
Infrastructure Fund
Infrastructure Fund
-
147,015
-
50,000
-
107,500
-
-
-
-
-
-
ARC aquatics upgrade
Recreation Impact Fees
-
1 126 605
-
-
-
-
Pool storage building renovation
Infrastructure Fund
-
60,000
-
-
-
-
LED li hts ARC
Infrastructure Fund
150,000
-
-
-
-
-
Blackbox theater 22" seating
Infrastructure Fund
50,000
-
-
-
-
-
Telescopic seating - mainsta e
I Applied for Grant
Recreation Impact Fees
210,000
420,000
- -
- -
-
-
-
-
Telescopic seating - mainsta a
-
Total Parks & Recreation
977,015 2,010,985 454,563 216,625 109,125 54,563
Fire
Replace fire inspector vehicle (1/yr) Infrastructure Fund
Diesel filters 7 Infrastructure Fund
- - 50,000 50,000
61,173 - - -
- -
-
-
Bunker gear replacements (25 sets/yr)
Infrastructure Fund
74,775
74,775
-
-
-
-
Bunker gear replacements 20 sets/ r
Infrastructure Fund
-
-
72,233
75,373
78,514
-
Replace battalion 101 vehicle
Infrastructure Fund
-
60,000
-
-
-
-
Replace engine 101
Infrastructure Fund
-
667,883
-
-
-
-
Air fill station
Infrastructure Fund
-
-
75,000
-
-
-
Engine 101 equipment
Infrastructure Fund
-
109,415
-
-
-
-
177
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021
CLER ONT
Chdce as Ci+empkns
FIVE YEAR CAPITAL PLAN
Department
Demolish & reconstruct FS102
Demolish & reconstruct FS102
re-evaluate
Funding Source 01/01/2021 2022
2023
2024
2025
2026
Infrastructure Fund 1,750,000
Fire Impact Fees 1 750 000
-
-
-
-
-
-
-
-
-
-
Demuck 12th street PS training site
Fire Impact Fees
-
725,000
-
-
-
-
PS training facility design
Fire Impact Fees
-
-
100,000
-
-
-
PS training facility construction
Fire Impact Fees
-
-
-
592,305
-
-
Land FS 5
Fire Impact Fees
-
-
-
800,000
-
-
FS 5 design
Fire Impact Fees
-
-
-
-
100,000
-
Construction FS 5
Fire Impact Fees
-
- -
- -
- -
-
3,500,000
-
Fire engine 105 equipment
Fire Impact Fees
-
-
-
-
109,415
Fire engine 105
Fire Impact Fees
-
-
667,883
Total Fire
3,635,948 1,637,073 297,233 1,517,678 3,678,514 777,298
Public Services - Public Works
- 218,500 214,000
- - -
293,000 301,000 180,000
Vehicle replacementprogram-fleet
Infrastructure Fund
Infrastructure Fund
Asset management im lementation
500,000
-
-
East avenue complete street design
Infrastructure Fund
150,000
-
-
-
-
-
East avenue complete street
Bishop field improvements _
Park improvements
No wake sign
Hancock park softball quad restroom expansio
New utility truck with dura lift bucket
Other
Infrastructure Fund
Infrastructure Fund
-
51025,000
-
-
-
-
-
935,000
-
-
-
-
100,000
150,000
150,000
150,000
150,000
150,000
Infrastructure Fund
52,600
-
-
-
-
-
Recreation Impact Fees
Infrastructure Fund
-
82,000
-
-
-
-
-
83,231
-
-
-
-
Safety improvements various locations Infrastructure Fund
145,135
-
-
-
-
-
Total Public Services - Public Works
447,735
6,493,731 364,000
943,000
451,000
330 000
Public Services - Environmental Services
Replacement vehicles -water
Water Fund
-
50,000
57,096
73,541
-
-
East water system looping des. & const.
Blacks west watermain tie In des. & const.
Water Fund
-
100 000
400,000
100,000
400,000
100,000
Water Fund
-
500,000
-
-
-
-
West waters stem improvements des. & cons
Water Fund
-
100,000
400,000
100,000
400,000
100,000
Ground storage tank -greater hills WTP
Water Impact Fees
-
1 400,000
-
-
-
-
1.0 MGD ground storage greater hills WTP Cor
Water Impact Fees
-
1,000,000
-
-
-
-
2.0 MGD ground storage sunburst WTP-D&C
Water Impact Fees
-
2,000,000
-
-
-
-
Lower floridan well pump assembly & wellhouE
Water Impact Fees
-
2,100 000
-
-
-
-
Lift station upgrades
Reclaimed water storage
Sewer Fund
-
250,000
-
-
200,000
250,000
250,000
250,000
250,000
250,000
Water Fund Loan
-
3,000,000
-
-
-
Re lacement vehicles
Lift station pump replacement
Sewers stem force main replacement
Sewer Fund
-
-
200,000
250,000
299,475
-
-
Sewer Fund
-
100,000
50,000
50,000
Sewer Fund
-
250,000
250,000
250,000
Sewer system main lining
West side gravity main Lining
Lateral / manhole lining
Reuses stem expansion
Wastewater treatment plant expansion
Regional lift station and forcemain
Sewer Fund
Sewer Fund
Sewer Fund
-
200,000
200,000
200,000
200,000
200 000
-
-
-
500,000
-
-
-
100,000
100,000
-
50,000
50,000
Water Impact Fees
-
400,000
-
-
-
-
Sewer Impact Fees
Sewer Impact Fees
-
15,000,000
2,000,000
-
-
-
-
-
-
2,000,000
-
-
178
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2021
CLER ONT
Chdce as Ci+empkns
FIVE YEAR CAPITAL PLAN
Department
Chain of lakes water quality improvements
Replacement vehicles
re-evaluate
Funding Source 01/01/2021 2023
Stormwater Fund - - 600,000
Sanitation Fund - 494,000 494,000
-
2025 2026
600,000 -
494,000 494,000
494,000
Total Public Services Environmental Services -
Economic Development
Downtown waterfront dist. Ph. III des/const. Master Plan Loan -
24,144,000 71951,096
4 367 016
21694,000
1 494 000
3,600,000 -
-
-
-
Total Economic Development
-
3,600,000 -
-
- -
Total All Departments
$ 5,629,298
$ 39,411,789 $ 9,692,892 $ 8,922,624
$ 7,458,639 $ 6,316,861
Applied for Grant
Fire Impact Fees
Infrastructure Fund
Master Plan Loan
Police Impact Fees
210,000
- - -
725,000 100,000 1,392,305
-
-
777,298
1 750 000
3,600,000
2,897,198
3,354,184
1,191,796
1 810 998
1,164,639
910,563
-
3,600,000
-
-
-
-
352,100
725,000
100,000
1,352,305
-
1,535,000
Recreation Impact
Other
Plot Sales
Sanitation Fund
420,000
1,563,605
350,000
-
-
-
-
5,300,000
-
-
-
-
-
-
-
-
-
1,600,000
-
494,000
494,000
494,000
494,000
494,000
Sewer Fund
Sewer Impact Fees
Stormwater Fund
Water Fund
Water Fund Loan
Water Impact Fees
-
1,000,000
1,000,000
1,599,475
800,000
800,000
15,000,000
2,000,000
2,000,000
-
-
-
-
600,000
-
600,000
-
-
750,000 857,096
- 3,000,000
6,900,000 -
273,541
800,000
200 000
-
-
-
-
-
-
-
-
Total All Fund Sources
$ 5,629,298 $ 39,411,789 $ 9,692,892 $ 8,922,624 $ 7,458,639 $ 6,316,861
179
�E
LERI"(ONT
Choice of Champions
180
CITY OF CLERMONT
RESOLUTION NO.2020-59R
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
CLERMONT, LAKE COUNTY, FLORIDA, ADOPTING THE
FINAL AD VALOREM MILLAGE RATE FOR THE FISCAL YEAR
BEGINNING OCTOBER 1, 2020 AND ENDING SEPTEMBER 30,
2021; PROVIDING FOR COLLECTION OF TAXES; PROVIDING
AN EFFECTIVE DATE.
WHEREAS, the City of Clermont, Florida adopted a Fiscal Year Final Millage Rate
following a public hearing as required by Florida Statute 200.065; and
WHEREAS, the City of Clermont, Florida held a public hearing as required by
Florida Statute 200.065; and
WHEREAS, a portion of the revenue for the City's 2020-2021 fiscal year general
government budget must be raised from the assessment and levy of an ad valorem tax on
each dollar of taxable property in the City of Clermont, Florida; and
WHEREAS, the gross taxable value for operating purposes not exempt from
taxation within the City of Clermont has been certified by the Lake County Property
Appraiser to be $3,440,121,784 on July 1, 2020;
NOW, THEREFORE, BE IT RESOLVED, by the City of Clermont of Lake
County, Florida, that:
1. The 2020-2021 Fiscal Year final operating millage rate is 4.2061 mills which is more
than the rolled -back rate of 3.9601 mills by 6.21 %.
2. This resolution shall take effect immediately upon its adoption.
DONE AND RESOLVED by the City Council of the City of Clermont this 17th day
of September, 2020.
Gail L. Ash, Mayor
Tracy Ackroyd H6we, City Clerk
181
�E
LERI"(ONT
Choice of Champions
182
CITY OF CLERMONT
RESOLUTION NO.2020-60R
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
CLERMONT, LAKE COUNTY, FLORIDA, ADOPTING THE
FINAL BUDGET FOR THE 2020-2021 FISCAL YEAR; PROVIDING
AN EFFECTIVE DATE.
WHEREAS, the City of Clermont, Florida held a public hearing as required by
Florida Statute 200.065; and
WHEREAS, it is hereby found and determined by the City Council of the City of
Clermont, Lake County, Florida that the sums of money included in Exhibit A, attached
hereto, totaling $157,736,418 or as much thereof as may be authorized by law are required
for the operation of the government of said City for the Fiscal Year of October 1, 2020 to
September 30, 2021;
NOW, THEREFORE, BE IT RESOLVED, by the City of Clermont, that the
attached said budget for the City of Clermont for the 2020-2021 Fiscal Year and
appropriations therefore are hereby adopted.
DONE AND RESOLVED by the City Council of the City of Clermont, Lake
County Florida, this 17tb day of September, 2020.
'Yf
Gail L. Ash, Mayor
al -
Tracy Ackroydliowe, City Clerk
183
BUDGET SUMMARY
CITY OF CLERMONT, FLORIDA
FISCAL YEAR 2020-2021
EXHIBIT A
Special Debt Capital
Millage per $1000 General Revenue Service Projects Enterprise Internal Service TOTAL
CLASSIFICATION 4.2061 Fund Funds Fund Funds Funds Fund BUDGET
ESTIMATED REVENUES
Ad Valorem Taxes
13,769,021
453,229
14,222,250
Other Taxes
5,662,012
2,666,687
8,328,699
Licenses & Permits
3,500,300
2,851,000
-
3,333,000
9,684,300
Intergovernmental Revenues
3,578,433
-
700,000
750,000
-
5,028,433
Charges For Services
2,298,801
2,500
-
19,610,000
5,463,465
27,374,766
Fines & Forfeitures
114,200
-
-
-
-
-
114,200
Miscellaneous
1,091,383
151,400
2,400
175,000
708,600
105,055
2,233,838
Interfund Transfers
2,147,211
-
2,832,993
-
920,017
-
5,900,221
ESTIMATED REVENUES
32,161,361
6,124,816
2,835,393
875,000
25,321,617
5,568,520
72,886,707
NON -REVENUES
Beginning Reserves
8,426,830
6,933,415
1,808,175
15,930,165
50,430,364
1,320,762
84,849,711
NON -REVENUES
8,426,830
6,933,415
1,808,175
15,930,165
50,430,364
1,320,762
84,849,711
TOTAL REVENUES & RESERVES
$40,588,191
$13,058,231
$4,643,568
$16,805,165
$75,751,981
$6,889,282
$157,736,418
EXPENDITURES
General Government
4,958,988
20,463
2,807,855
1,009
5,712,326
13,500,641
Public Safety
21,662,866
2,537,365
-
-
-
-
24,200,231
Physical Environment
956,966
-
7,093,045
42,654,337
50,704,348
Transportation
2,950,164
116,911
-
-
3,067,075
Economic Environment
159,782
410,758
3,099,300
3,669,840
Culture/Recreation
3,134,267
96,840
-
-
3,231,107
Interfund Transfers
218,467
2,614,526
-
-
3,067,228
5,900,221
EXPENDITURES
34,041,500
5,796,863
2,807,855
10,193,354
45,721,565
5,712,326
104,273,463
RESERVES
Ending Reserves
6,546,691
7,261,368
1,835,713
6,611,811
30,030,416
1,176,956
53,462,955
RESERVES
6,546,691
7,261,368
1,835,713
6,611,811
30,030,416
1,176,956
53,462,955
TOTAL EXPENDITURES & RESERVES
$40,588,191
$13,058,231
$4,643,568
$16,805,165
$75,751,981
$6,889,282
$157,736,418
* THE TENTATIVE, ADOPTED, AND/OR FINAL BUDGETS ARE ON FILE IN THE OFFICE OF THE ABOVE MENTIONED TAXING AUTHORITY AS A PUBLIC RECORD
184