File #: ORD 2018-022    Name: FY19 Operating and Capital Improvement Budget
Type: Ordinance Status: Second Reading
File created: 8/23/2018 In control: City Commission
On agenda: 9/27/2018 Final action:
Title: AN ORDINANCE ADOPTING THE FISCAL YEAR 2019 OPERATING AND CAPITAL IMPROVEMENT BUDGET AS THE CITY'S OFFICIAL BUDGET. THIS ORDINANCE WILL APPROPRIATE FUNDS FOR OPERATING CITY DEPARTMENTS AND CAPITAL PROJECTS FROM OCTOBER 1, 2018, TO SEPTEMBER 30, 2019. (SECOND READING, PUBLIC HEARING)
Indexes: Budget, Capital Improvements, FINANCE, Ordinance, Public Hearing
Attachments: 1. ORDINANCE 2018-022-FY19 Operating & Capital Improvement Budget
AGENDA ITEM REPORT
TITLE:

title
AN ORDINANCE ADOPTING THE FISCAL YEAR 2019 OPERATING AND CAPITAL IMPROVEMENT BUDGET AS THE CITY'S OFFICIAL BUDGET. THIS ORDINANCE WILL APPROPRIATE FUNDS FOR OPERATING CITY DEPARTMENTS AND CAPITAL PROJECTS FROM OCTOBER 1, 2018, TO SEPTEMBER 30, 2019. (SECOND READING, PUBLIC HEARING)

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BACKGROUND:
This item was approved on First Reading at the September 12, 2018, Special City Commission Meeting.
On July 27, 2018, the Proposed Fiscal Year 2019 (FY19) Budget and Capital Improvement Program document was submitted to the City Commission. The City Manager and Chief Financial Officer presented the Proposed FY19 Budget to the City Commission at a Budget Workshop held on August 6, 2018.

DISCUSSION:
First Reading of this Ordinance tentatively adopts the Proposed FY19 Operating and Capital Improvement Budget as the City's official budget, including the following amendments made by the City Commission during the Budget Workshop held on August 6, 2018, as well as a necessary adjustment for the first payment of the 2018 Series Revenue Note.

Increase Decrease
General Fund (01)

Revenues
Miscellaneous Revenues $ 6,510
Recreation Programs/Activities $ 10,000

Expenditures
City Commission $ 21,510
City Attorney $ 25,000
Parks and Recreation-Sound System $ 50,000
Parks and Recreation-Paddleboats $ 100,000

Community Improvement Fund (14)

Expenditures
Transfer to Debt Service Fund $ 52,100
Resources Available $ 52,100

Increase Decrease
Debt Services Fund (21)

Revenues
Transfer from Community Improvement Fund $ 52,100

Expenditures
Principal and Interest - Bonds $ 52,100


It will also:

1. Allow the City to continue the General Trust Fund and automatically amend the budget for financial reporting purposes;

2. Allow the City to continue the Grants Funds and automatically amend the budget for financial reporting purposes;

3. Allow the City ...

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