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Resolution No. 2021-016RCITY OF CLERMONT RESOLUTION NO.2021-016R A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF CLERMONT, LAKE COUNTY, FLORIDA, AUTHORIZING BUDGET AMENDMENTS FOR THE CITY OF CLERMONT FOR FISCAL YEAR 2020-2021 WHEREAS, it is hereby found and determined by the City Council of the City of Clermont, Lake County, Florida, that the following budget amendments are necessary for the Fiscal Year October 1, 2020 to September 30, 2021: GENERAL FUND 1. Increase Election (10511-54915) $ 13,078 To amend the City Clerk Department budget to fund higher than anticipated special election costs related to filling City Council Seat 4. 2. Increase Travel & Per Diem — Justice Funds (10521-54001-21900) $ 4,000 Increase Community Relations— Justice Funds (10521-55212-21900) $ 8,000 Increase Capital Outlay - Equipment — Justice Funds (10521-66401-21900) $ 36,383 Increase Fed Forfeiture/Seizure — Justice Funds (10521-66404-21900) $ 6,500 To amend the Police Department Budget for expenditures related to Federal Forfeiture Justice Funds. 3. Increase Training & Education— Treasury Funds (10521-55401-21901) $ 5,000 To amend the Police Department Budget for expenditures related to Federal Forfeiture Treasury Funds. 4. Increase Group Insurance (10511-12300) $ 1,478 Increase Group Insurance (10512-12300) $ 3,122 Increase Group Insurance (10513-12300) $ 3,747 Increase Group Insurance (10515-12300) $ 2,566 Increase Group Insurance (10516-12300) $ 2,975 Increase Group Insurance Mobile Crisis (10521-12300-21026) $ 102 Increase Group Insurance (10521-12300) $ 38,250 Increase Group Insurance (10522-12300) $ 34,033 Increase Group Insurance SAFER (10522-12300-22013) $ 844 Increase Group Insurance (10529-12300) $ 1,065 Increase Group Insurance (10541-12300) $ 4,009 Increase Group Insurance (10542-12300) $ 5,851 Increase Group Insurance (10544-12300) $ 2,182 Increase Group Insurance (10545-12300) $ 380 Increase Group Insurance (10549-12300) $ 2,966 Increase Group Insurance (10560-12300) $ 2,591 Increase Group Insurance (10565-12300) $ 1,145 Increase Group Insurance (10572-12300) $ 1,739 1 CITY OF CLERMONT RESOLUTION NO.2021-016R Increase Group Insurance (10574-12300) $ 1,289 Increase Group Insurance (10575-12300) $ 2,974 Increase Group Insurance (10579-12300) $ 1,143 To amend the General Fund Department Budgets for employee benefit changes for medical and dental insurance effective January 1, 2021 approved by the City Council on November 10, 2020. 5. Increase Federal Grant Revenue— Lake Hiawatha (10331-33100-72113) $ 194,217 Increase Capital Outlay— Lake Hiawatha (10542-66301-72113) $ 194,217 To amend the Public Services Department Budget for contract approval for the Lake Hiawatha pier replacement project and related Hazard Mitigation grant revenues approved by the City Council on December 8, 2020. 6. Decrease Fund Balance (10599-59900) $ 187,412 Total General Fund adjustments. BUILDING SERVICES FUND 1. Increase Group Insurance (11524-12300) $ 6,312 To amend the Building Services Fund Budget for employee benefit changes for medical and dental insurance effective January 1, 2021 approved by the City Council on November 10, 2020. 2. Decrease Fund Balance (11599-59900) $ 6,312 Total Building Services Fund adjustments. INFRASTRUCTURE SALES TAX FUND 1. Increase Fund Balance —Beginning Reserves (12399-39900) $ 483,345 To amend the budget to reflect anticipated reserves brought forward at October 1, 2020. 2. Increase Capital Outlay - Equipment (12516-66401) $ 21,000 To amend the IT Department budget for a FY 21 budget request for desktop/laptop computers not included in the FY 21 Adopted Budget due to the economic impact of COVID-19. In January 2021, a city-wide prioritization of the requests were made and these items are recommended by the Interim City Manager. 3. Increase Capital Outlay- Vehicles (12521-66400) $ 5,070 To amend the Police Department budget for the carryforward of unexpended FY 2020 funds budgeted for police officer vehicles and in process as of September 30, 2020. 2 CITY OF CLERMONT RESOLUTION NO.2021-016R 4. Increase Capital Outlay- Equipment (12522-66401) $ 74,775 To amend the Fire Department budget for a FY 21 budget request for bunker gear not included in the FY 21 Adopted Budget due to the economic impact of COVID-19. In January 2021, a city-wide prioritization of the requests were made and these items are recommended by the Interim City Manager. 5. Increase Road Resurfacing (12541-54603) $ 325,000 Increase Capital Outlay— Sidewalks (12541-66303) $ 15,000 Increase Sidewalk Replacements (12541-54604) $ 12,500 Increase Capital Outlay - Park Improvements (12542-66300) $ 30,000 To amend the Public Services Department budget for FY 21 budget request for street resurfacing, sidewalks and park improvements not included in the FY 21 Adopted Budget due to the economic impact of COVID-19. In January 2021, a city-wide prioritization of the requests were made and these items are recommended by the Interim City Manager. CEMETERY FUND 1. Increase Group Insurance (13542-12300) $ 512 To amend the Cemetery Fund Budget for employee benefit changes for medical and dental insurance effective January 1, 2021 approved by the City Council on November 10, 2020. 2. Decrease Fund Balance (13599-59900) $ 512 Total Cemetery Fund adjustments. RECREATION IMPACT FEE FUND 1. Increase Capital Outlay - Equipment (14574-66401) $ 11,231 To amend the Recreation Impact Fee Fund Budget for Victory Pointe and Highlander Pavilion audio systems increase from change orders approved by the City Council on January 26, 2021. 2. Decrease Fund Balance (14599-59900) $ 11,231 Total Recreation Impact Fee Fund adjustments. POLICE IMPACT FEE FUND 1. Increase Capital Outlay- Vehicles (15521-66400) $ 181,500 3 CITY OF CLERMONT RESOLUTION NO.2021-016R To amend the Police Impact Fee Fund Budget for 3 Vehicles for 3 New Police Officers effective April 2021 approved by the City Council on February 23, 2021. 2. Increase Capital Outlay- Equipment (15521-66401) $ 26,400 To amend the Police Impact Fee Fund Budget for 3 radios, body armor, tasers, and body cameras for 3 New Police Officers effective April 2021. 3. Increase Capital Outlay- Vehicles (15521-66400) $ 3,821 To amend the Police Impact Fee Fund Budget for the carryforward of unexpended FY 2020 funds budgeted for vehicles and in process as of September 30, 2020. 4. Decrease Fund Balance (15599-59900) $ 211,721 Total Police Impact Fee Fund adjustments. CAPITAL PROJECTS FUND 1. Increase Capital Outlay— Other Improvements (32559-66300-95113) $ 82,452 To amend the Economic Development Budget for Change Orders #28, 29 and 30 for the Downtown Streetscape Phase 1 construction contract project approved by the City Council on December 8, 2020. 2. Decrease Fund Balance (32599-59900) $ 82,452 Total Capital Projects Fund adjustments. WATER FUND 1. Increase Group Insurance (41533-12300) $ 13,975 To amend the Water Fund Budget for employee benefit changes for medical and dental insurance effective January 1, 2021 approved by the City Council on November 10, 2020. 2. Decrease Fund Balance (41599-59900) $ 13,975 Total Water Fund adjustments. SEWER FUND 1. Increase Capital Outlay— Sewer System (42535-66305) $ 358,042 To amend the Sewer Fund Budget for the carryforward of unexpended FY 2020 funds for sewer main lining approved by the City Council on February 25, 2020 and in process as of September 30, 2020. 2. Increase Capital Outlay— Lift Station Improvements (42535-66321) $ 5,000 4 CITY OF CLERMONT RESOLUTION NO.2021-016R To amend the Sewer Fund Budget for the carryforward of unexpended FY 2020 funds for the lift station radio project approved by the City Council on January 14, 2020 and in process as of September 30, 2020. 3. Increase Group Insurance (42535-12300) $ 13,041 To amend the Sewer Fund Budget for employee benefit changes for medical and dental insurance effective January 1, 2021 and approved by the City Council on November 10, 2020. 4. Decrease Fund Balance (42599-59900) $ 376,083 Total Sewer Fund adjustments. WATER IMPACT FEE FUND 1. Increase Capital Outlay— Water System (43533-66307) $ 147,000 To amend the Water Impact Fee Fund Budget for a utility construction reimbursement (pioneering) Agreement approved by the City Council on February 9, 2021. 2. Decrease Fund Balance (43599-59900) $ 147,000 Total Water Impact Fee Fund adjustments. STORMWATER FUND 1. Increase Group Insurance (45538-12300) $ 5,471 To amend the Stormwater Fund Budget for employee benefit changes for medical and dental insurance effective January 1, 2021 approved by the City Council on November 10, 2020. 2. Decrease Fund Balance (45599-59900) $ 5,471 Total Stormwater Fund adjustments. SANITATION FUND 1. Increase Group Insurance (49534-12300) $ 9,180 To amend the Sanitation Fund Budget for employee benefit changes for medical and dental insurance effective January 1, 2021 approved by the City Council on November 10, 2020. 2. Decrease Fund Balance (49599-59900) Total Sanitation Fund adjustments. 5 $ 9,180 CITY OF CLERMONT RESOLUTION NO.2021-016R GROUP SELF INSURANCE FUND 1. Increase Group Insurance (52519-12300) $ 417 To amend the Group Self Insurance Fund Budget for employee benefit changes for medical and dental insurance effective January 1, 2021 approved by the City Council on November 10, 2020. 2. Decrease Fund Balance (52599-59900) $ 417 Total Group Self Insurance Fund adjustments. ;�7 7:1_111 1. Increase Fund Balance: Beginning Reserves (60399-39900) $ 193,661 To amend the budget to reflect anticipated reserves brought forward at October 1, 2020 as adopted by the CRA Board on March 9, 2021 - Resolution No. 21. 2. Increase Capital Outlay- Land (60552-66101) $ 460,995 To amend the budget for land acquisition for downtown parking as adopted by the CRA Board on March 9, 2021 - Resolution No. 21. 3. Increase Main Street Program (60552-88202) $ 35,000 To amend the budget for funding the Main Street Program as adopted by the CRA Board on March 9, 2021 - Resolution No. 21. 4. Decrease Fund Balance (60599-59900) $ 302,334 Total CRA Fund adjustments. Net Decrease to Fund Balance — All Funds $ 1,354,100 11 CITY OF CLERMONT RESOLUTION NO.2021-016R NOW, THEREFORE, BE IT RESOLVED, that the above said budget amendments of the City of Clermont for the Fiscal Year 2020-2021 are hereby adopted. DONE AND RESOLVED by the City Council of the City of Clermont, Lake County, Florida, this 23rd day of March, 2021. \►� t� F 1 ATTEST: Tracy Ackroyd Howe, City Clerk Approved as to forma ,illegality: F. Mantzaris, City Attorney 7 CITY OF CLERMONT Tim Murry, Mayor