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R-07-1536CITY OF CLERMONT RESOLUTION NO. 1536 A RESOLUTION OF THE CITY OF CLERMONT, LAKE COUNTY, FLORIDA, ADOPTING THE BUDGET FOR THE 2007-2008 FISCAL YEAR. WHEREAS, it is hereby found and determined by the City Council of the City of Clermont, Lake County, Florida that the following sums of money, 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, 2007 to September 30, 2008. GENERAL FUND CASH BALANCES BROUGHT FORWARD ESTIMATED REVENUES: Taxes Licenses and Permits Intergovernmental Charges for Services Fines and Forfeitures Miscellaneous Other Financing Sources TOTAL ESTIMATED REVENUES $8,094,748 $23,429,975 TOTAL CASH BALANCES AND ESTIMATED REVENUES 531.24;723 EXPENDITURES: City Council 26,795 City Clerk 249,020 City Manager 444,520 Administrative Services 1,041,286 City Attorney 117,570 Planning & Zoning 799,270 Engineering 387,875 Other General Government 378,465 Police 5,190,255 Fire 4,253,408 Public Works 10,406,406 Economic Development 40,600 Recreation 279,455 11,527,422 386,200 9,237,689 443,095 141,250 1,143,719 550,600 CITY OF CLERMONT RESOLUTION NO. 1536 PAGE 2 TOTAL EXPENDITURES $23,614,925 RESERVES $7,909,798 TOTAL EXPENDITURES AND RESERVES X31,524,723 INFRASTRUCTURE FUND CASH BALANCES BROUGHT FORWARD $5,368,423 ESTIMATED REVENUES: Taxes 2,000,000 Miscellaneous 110,000 TOTAL ESTIMATED REVENUES $2,110,000 TOTAL CASH BALANCES AND ESTIMATED REVENUES ~~ EXPENDITURES: Public Works 33,000 Transfers-Out 6,981,180 TOTAL EXPENDITURES $7,014,180 RESERVES $464,243 TOTAL EXPENDITURES AND RESERVES ~Zz~ RECREATION IMPACT FEE FUND CASH BALANCES BROUGHT FORWARD $2,310,602 ESTIMATED REVENUES: Impact Fees 820,000 Miscellaneous 59,000 TOTAL ESTIMATED REVENUES $879,000 CITY OF CLERMONT RESOLUTION NO. 1536 PAGE 3 TOTAL CASH BALANCES AND ESTIMATED REVENUES 53.189.602 EXPENDITURES: Public Works 995,000 TOTAL EXPENDITURES $995,000 RESERVES $2,194,602 TOTAL EXPENDITURES AND RESERVES ~~~~ ~ POLICE IMPACT FEE FUND CASH BALANCES BROUGHT FORWARD $1,411,270 ESTIMATED REVENUES: Impact Fees 250,000 Miscellaneous 90,000 TOTAL ESTIMATED REVENUES $340,000 TOTAL CASH BALANCES AND ESTIMATED REVENUES 12 EXPENDITURES: Police 636,135 TOTAL EXPENDITURES $636,135 RESERVES $1,115,135 TOTAL EXPENDITURES AND RESERVES 1.751.270 FIRE IMPACT FEE FUND CASH BALANCES BROUGHT FORWARD $193,694 CITY OF CLERMONT RESOLUTION NO. 1536 PAGE 4 ESTIMATED REVENUES: Impact Fees Miscellaneous 150,000 9,500 TOTAL ESTIMATED REVENUES $159,500 TOTAL CASH BALANCES AND ESTIMATED REVENUES 2 EXPENDITURES: Fire 147,685 Transfers Out 200,000 TOTAL EXPENDITURES $347,685 RESERVES $5,509 TOTAL EXPENDITURES AND RESERVES ~~ 2002 PUBLIC IMPROVEMENT BOND FUND CASH BALANCES BROUGHT FORWARD $364,022 ESTIMATED REVENUES: Miscellaneous 9,000 Other Financing Sources 640,530 TOTAL ESTIMATED REVENUES 649 530 TOTAL CASH BALANCES AND ESTIMATED REVENUES $1.013.552 EXPENDITURES: Other General Government 635,057 TOTAL EXPENDITURES $635,057 RESERVES 378 495 TOTAL EXPENDITURES AND RESERVES ~1t~: CITY OF CLERMONT RESOLUTION NO. 1536 PAGE 5 BUILDING CONSTRUCTION FUND CASH BALANCES BROUGHT FORWARD $854,809 ESTIMATED REVENUES: Miscellaneous 31,000 Other Financial Sources 8,345,000 TOTAL ESTIMATED REVENUES $8,376,000 TOTAL CASH BALANCES AND ESTIMATED REVENUES ~2~' 4$42 EXPENDITURES: Fire 3,320,000 Parks 825,000 TOTAL EXPENDITURES $4,145,000 RESERVES $5,085,809 TOTAL EXPENDITURES AND RESERVES X2$42 WATER FUND CASH BALANCES BROUGHT FORWARD $8,746,135 ESTIMATED REVENUES: Charges for Services 5,306,000 Miscellaneous 612,000 Transfers In 388,058 TOTAL ESTIMATED REVENUES $6,306,058 TOTAL CASH BALANCES AND ESTIMATED REVENUES 515.52,193 EXPENSES: Water System 10,366,322 TOTAL EXPENSES $10,366,332 CITY OF CLERMONT RESOLUTION NO. 1536 PAGE 6 RESERVES $4,685,861 TOTAL EXPENSES AND RESERVES 15,~,19~ WATER IMPACT FEE FUND BUDGET CASH BALANCES BROUGHT FORWARD $6,631,875 ESTIMATED REVENUES: Impact Fees 700,000 Miscellaneous 120,000 TOTAL ESTIMATED REVENUES $820,000 TOTAL CASH BALANCES AND ESTIMATED REVENUES ~1~~ ~ EXPENSES: Water System 7,315,558 TOTAL EXPENSES $7,315,558 RESERVES $136,317 TOTAL EXPENSES AND RESERVES 7.451.87 SEWER FUND CASH BALANCES BROUGHT FORWARD $3,772,422 ESTIMATED REVENUES: Charges for Services 4,628,000 Miscellaneous 210,000 Transfers In 689,881 TOTAL ESTIMATED REVENUES $5,527,881 TOTAL CASH BALANCES AND ESTIMATED REVENUES ~2~QQ CITY OF CLE.RMONT RESOLUTION NO. 1536 PAGE 7 EXPENSES: Sewer System TOTAL EXPENSES RESERVES TOTAL EXPENSES AND RESERVES SEWER IMPACT FEE FUND CASH BALANCES BROUGHT FORWARD ESTIMATED REVENUES: Impact Fees Miscellaneous TOTAL ESTIMATED REVENUES 8,142,455 1,750,000 800,000 TOTAL CASH BALANCES AND ESTIMATED REVENUES EXPENSES: Sewer System 22,268,123 TOTAL EXPENSES RESERVES TOTAL EXPENSES AND RESERVES 2000 WATER/SEWER BOND FUND CASH BALANCES BROUGHT FORWARD ESTIMATED REVENUES: Miscellaneous 11,000 $8,142,455 $1,157,848 9.300.303 $26,544,519 $2,550,000 29.094.519 $22,268,123 $6,826,396 ~29,Q94.519 $867,968 TOTAL ESTIMATED REVENUES $11,000 CITY OF CLERMONT RESOLUTION NO. 1536 PAGE 8 TOTAL CASH BALANCES AND ESTIMATED REVENUES ~$~ EXPENSES: Water/Sewer System 878,968 TOTAL EXPENSES $878,968 RESERVES TOTAL EXPENSES AND RESERVES ~$?$~ STORMWATER FUND CASH BALANCES BROUGHT FORWARD $1,820,744 ESTIMATED REVENUES Intergovernmental 700,000 Charges for Services 776,000 Miscellaneous 60,000 TOTAL ESTIMATED REVENUES $1,536,000 TOTAL CASH BALANCES AND ESTIMATED REVENUES 3.35b.744 EXPENSES: Storrnwater System 2,500,890 TOTAL EXPENSES $2,500,890 RESERVES $855,854 TOTAL EXPENSES AND RESERVES S3-3s SANITATION FUND CASH BALANCES BROUGHT FORWARD $592,464 CITY OF CLERMONT RESOLUTION NO. 1536 PAGE 9 ESTIMATED REVENUES: Intergovernmental Charges for Services Miscellaneous 40,000 2,574,000 22,000 TOTAL ESTIMATED REVENUES $2,636,000 TOTAL CASH BALANCES AND ESTIMATED REVENUES 3.22g•4G4 EXPENSES: Sanitation 1,729,705 TOTAL EXPENSES $1,729,705 RESERVES $1,498,759 TOTAL EXPENSES AND RESERVES ~ .228.464 COMMUNITY REDEVELOPMENT AGENCY FUND CASH BALANCES BROUGHT FORWARD $577,889 ESTIMATED REVENUES: Taxes 321,365 Miscellaneous 16,000 TOTAL ESTIMATED REVENUES $337,365 TOTAL CASH BALANCES AND ESTIMATED REVENUES ~2_ ~~4 EXPENDITURES: Economic Development 900,175 TOTAL EXPENDITURES $900,175 RESERVES $15,079 TOTAL EXPENDITURES AND RESERVES ~Q~S 5 CITY OF CLERMONT RESOLUTION NO. 1536 PAGE 10 CEMETERY FUND CASH BALANCES BROUGHT FORWARD $578,989 ESTIMATED REVENUES: Miscellaneous 70,800 TOTAL ESTIMATED REVENUES $70,800 TOTAL CASH BALANCES AND ESTIMATED REVENUES ~~ EXPENDITURES: Other General Government 500 Transfers-Out 30,800 TOTAL EXPENDITURES $31,300 RESERVES $618,489 TOTAL EXPENDITURES AND RESERVES ~~ .789 NOW, THEREFORE, BE IT RESOLVED, that the above said budget for the City of Clermont for the 2007-2008 Fiscal Year and appropriations therefore are hereby adopted. DONE AND ~~]~SOLVED BY THE CITY COUNCIL OF THE CITY OF CLERMONT THIS ~~~. DAY OF SEPTEMBER, 2007. ~~: Harold S. Turville, Mayor Attest: ~~ , , ' ,~ ~~f~~~ ~~ ~: Tracy Ackroyd, Cit Clerk