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FY15/16 Proposed Budget VERONA WALK COMMUNITY DEVELOPMENT DISTRICT c/o Special District Services, Inc. 2501 Burns Road, Suite A 1%.QA ' 11 Palm Beach Gardens, Florida 33410 0 4'23 fr Faxs(561) 6 094923 R` <<ch,,G� AA,�. -.04 ca�/Pls 4 j April 20, 2015 VIA CERTIFIED MAIL— RETURN RECEIPT REQUESTED Clerk of the Circuit Court Collier County Courthouse 3315 Tamiami Trail East, #102 Naples, Florida 34112-5324 Re: Verona Walk Community Development District To Whom It May Concern: Pursuant to Florida law, enclosed please find a copy of the following document relative to the above referenced Community Development District: 1.) Proposed Fiscal Year 2015/2016 Budget(Oct. 1, 2015—Sept. 30, 2016) If you have any questions or comments, please contact our office. Sincerely, SPECIAL DISTRICT SERVICES, INC. ("0/111,41111 Laura J. Ar he Enclosure Verona Walk Community Development District Proposed Budget For Fiscal Year 2015/2016 October 1, 2015 - September 30, 2016 CONTENTS I PROPOSED BUDGET II DETAILED PROPOSED BUDGET III DETAILED PROPOSED DEBT SERVICE FUND BUDGET (SERIES 2006) IV DETAILED PROPOSED DEBT SERVICE FUND BUDGET (SERIES 2013) V ASSESSMENT COMPARISON e] PROPOSED BUDGET VERONA WALK COMMUNITY DEVELOPMENT DISTRICT FISCAL YEAR 2015/2016 OCTOBER 1,2015-SEPTEMBER 30,2016 FISCAL YEAR 2015/2016 REVENUES BUDGET O&M ASSESSMENTS 316,805 DEBT ASSESSMENTS-SERIES 2006 689,514 DEBT ASSESSMENTS-SERIES 2013 521,885 OTHER REVENUES 0 INTEREST INCOME 360 TOTAL REVENUES $ 1,528,564 EXPENDITURES MAINTENANCE EXPENDITURES FIELD INSPECTOR 34,800 VEHICLE-CART 0 VEHICLE-INSURANCE 1,000 VEHICLE-EQUIPMENT(SMALL TOOLS) 4,000 VEHICLE-GAS&MAINTENANCE 5,200 LAKE SPRAYING(CLARK) 65,000 LAKE WATER QUALITY TESTING(BENCHMARK) 6,000 LAKE LITTORAL&LAKE BANK PLANTINGS 30,000 OUTFALL PIPE&STRUCTURE INSPECTION&CLEANING 15,000 STORM PIPE&EROSION REPAIRS 15,000 TOTAL MAINTENANCE EXPENDITURES $ 176,000 ADMINISTRATIVE EXPENDITURES SUPERVISOR FEES 0 PAYROLL TAXES(EMPLOYER) 0 ENGINEERING 20,000 MANAGEMENT 42,336 SECRETARIAL 4,200 LEGAL 15,000 ASSESSMENT ROLL 10,000 AUDIT FEES 3,400 ARBITRAGE REBATE FEE-SERIES 2006 650 ARBITRAGE REBATE FEE-SERIES 2013 650 INSURANCE 6,450 LEGAL ADVERTISING 1,600 MISCELLANEOUS 2,000 POSTAGE 800 OFFICE SUPPLIES 1,000 DUES&SUBSCRIPTIONS 175 WEBSITE MANAGEMENT 1,500 TRUSTEE FEES-SERIES 2006 3,800 TRUSTEE FEES-SERIES 2013 4,300 CONTINUING DISCLOSURE FEE-SERIES 2006 1,000 CONTINUING DISCLOSURE FEE-SERIES 2013 1,000 TOTAL ADMINISTRATIVE EXPENDITURES $ 119,861 TOTAL EXPENDITURES $ 295,861 REVENUES LESS EXPENDITURES $ 1,232,703 BOND PAYMENTS(SERIES 2006) (637,800) BOND PAYMENTS(SERIES 2013) (482,744) BALANCE $ 112,159 COUNTY APPRAISER&TAX COLLECTOR ADMINISTRATIVE COSTS (52,722) DISCOUNTS FOR EARLY PAYMENTS (61,892) EXCESS/(SHORTFALL) $ (2,455) CARRYOVER FROM PRIOR YEAR 2,455 NET EXCESS/(SHORTFALL) $ - Note:Projected Available Funds Balance As Of 9-30-15 is$125,000 422015 1229 PM DETAILED PROPOSED BUDGET VERONA WALK COMMUNITY DEVELOPMENT DISTRICT FISCAL YEAR 2015/2016 OCTOBER 1, 2015-SEPTEMBER 30, 2016 FISCAL YEAR FISCAL YEAR FISCAL YEAR 2013/2014 2014/2015 2015/2016 REVENUES ACTUAL BUDGET BUDGET COMMENTS O&M ASSESSMENTS 93,264 316,805 316,805 Expenditures Less Interest/.925 DEBT ASSESSMENTS-SERIES 2006 690,520 690,220 689,514 Bond Payments/.925 DEBT ASSESSMENTS-SERIES 2013 537,648 536,904 521,885 Bond Payments/.925 OTHER REVENUES 0 0 0 INTEREST INCOME 257 480 360 Interest Projected At$30 Per Month TOTAL REVENUES $ 1,321,689 $ 1,544,409, $ 1,528,564 EXPENDITURES MAINTENANCE EXPENDITURES FIELD INSPECTOR 0 31,200 34,800 Field Inspector VEHICLE-CART 0 8,600 0 Cart Purchased In 2015 VEHICLE-INSURANCE 0 1,000 1,000 Vehicle-Insurance VEHICLE-EQUIPMENT(SMALL TOOLS) 0 4,000 4,000 Vehicle-Equipment(Small Tools) VEHICLE-GAS&MAINTENANCE 0 5,200 5,200 $100 Per Week LAKE SPRAYING(CLARK) 0 60,000 65,000 Lake Spraying(Clark) LAKE WATER QUALITY TESTING(BENCHMARK) 0 6,000 6,000 Lake Water Quality Testing(Benchmark) LAKE LITTORAL&LAKE BANK PLANTINGS 0 30,000 30,000 Lake Littoral&Lake Bank Plantings OUTFALL PIPE&STRUCTURE INSPECTION&CLEANING 0 15,000 15,000 Outfall Pipe&Structure Inspection&Cleaning STORM PIPE&EROSION REPAIRS 0 15,000 15,000 Storm Pipe&Erosion Repairs TOTAL MAINTENANCE EXPENDITURES $ - $ 176,000 $ 176,000 ADMINISTRATIVE EXPENDITURES SUPERVISOR FEES 0 0 0 No Change From 2014/2015 Budget PAYROLL TAXES(EMPLOYER) 0 0 0 No Change From 2014/2015 Budget ENGINEERING 29,009 20,000 20,000 No Change From 2014/2015 Budget MANAGEMENT 37,080 42,000 42,336 CPI Adjustment SECRETARIAL 4,200 4,200 4,200 No Change From 2014/2015 Budget LEGAL 22,938 15,000 15,000 2014/2015 Expenditures Through March 2015 Were$4,481 ASSESSMENT ROLL 10,000 10,000 10,000 As Per Contract AUDIT FEES 4,500 4,600 3,400 Accepted Amount For 2014/2015 Audit ARBITRAGE REBATE FEE-SERIES 2006 650 650 650 No Change From 2014/2015 Budget ARBITRAGE REBATE FEE-SERIES 2013 1,300 650 650 No Change From 2014/2015 Budget INSURANCE 5,665 6,250 6,450 Insurance Company Estimate LEGAL ADVERTISING 1,599 1,500 1,600 $100 Increase From 2014/2015 Budget MISCELLANEOUS 1,534 1,500 2,000 $500 Increase From 2014/2015 Budget POSTAGE 2,001 600 800 $200 Increase From 2014/2015 Budget OFFICE SUPPLIES 1,887 800 1,000 $200 Increase From 2014/2015 Budget DUES&SUBSCRIPTIONS 175 175 175 No Change From 2014/2015 Budget WEBSITE MANAGEMENT 0 0 1,500 Website Management TRUSTEE FEES-SERIES 2006 3,231 3,800 3,800 No Change From 2014/2015 Budget TRUSTEE FEES-SERIES 2013 4,300 3,800 4,300$500 Increase From 2014/2015 Budget CONTINUING DISCLOSURE FEE-SERIES 2006 1,000 1,000 1,000 No Change From 2014/2015 Budget CONTINUING DISCLOSURE FEE-SERIES 2013 1,000 1,000 1,000 No Change From 2014/2015 Budget TOTAL ADMINISTRATIVE EXPENDITURES $ 132,069 $ 117,525 $ 119,861 TOTAL EXPENDITURES $ 132,069 $ 293,525 $ 295,861 REVENUES LESS EXPENDITURES $ 1,189,620 $ 1,250,884 $ 1,232,703 BOND PAYMENTS(SERIES 2006) (644,848) (638,454) (637,800) 2016 P&I Payments BOND PAYMENTS(SERIES 2013) (499,636) (496,636) (482,744) 2016 P&I Payments BALANCE $ 45,136 $ 115,794 $ 112,159 COUNTY APPRAISER&TAX COLLECTOR ADMINISTRATIVE COSTS (38,890) (53,265) (52,722)Three And One Hat Percent Of Total Assessment Roll DISCOUNTS FOR EARLY PAYMENTS (46,445) (62,529) (61,892) Four Percent Of Total Assessment Roll EXCESS!(SHORTFALL) $ (40,199) $ - $ (2,455) CARRYOVER FROM PRIOR YEAR 0 0 2,455 Carryover From Prior Year NET EXCESS/(SHORTFALL) $ (40,199) $ - $ - Note:Projected Available Funds Balance As Of 9-30-15 is$125,000 4/2/2015 12:29 PM I I DETAILED PROPOSED DEBT SERVICE (SERIES 2006) FUND BUDGET VERONA WALK COMMUNITY DEVELOPMENT DISTRICT FISCAL YEAR 2015/2016 OCTOBER 1, 2015-SEPTEMBER 30, 2016 FISCAL YEAR FISCAL YEAR FISCAL YEAR 2013/2014 2014/2015 2015/2016 REVENUES ACTUAL BUDGET BUDGET COMMENTS Interest Income 40 500 50 Projected Interest For 2015/2016 NAV Collection 644,848 638,454 637,800 Maximum Debt Service Collection Prepaid Bond Collection 8,588 0 0 Prepaid Bond Collection Total Revenues $ 653,476 $ 638,954 $ 637,850 EXPENDITURES Principal Payments 180,000 190,000 200,000 Principal Payment Due In 2016 Interest Payments 461,175 446,394 435,106 Interest Payments Due In 2016 Principal Prepayments 0 2,560 2,744 Principal Prepayments Total Expenditures $ 641,175 $ 638,954 $ 637,850 Excess/(Shortfall) $ 12,301 $ - $ - Series 2006 Bond Information Original Par Amount= $9,520,000 Annual Principal Payments Due= May 1st Interest Rate= 5.375% Annual Interest Payments Due= May 1st&November 1st Issue Date= May 2006 Maturity Date= May 2037 I I I 4/2/2015 12:29 PM • DETAILED PROPOSED DEBT SERVICE (SERIES 2013) FUND BUDGET VERONA WALK COMMUNITY DEVELOPMENT DISTRICT FISCAL YEAR 2015/2016 OCTOBER 1, 2015-SEPTEMBER 30, 2016 FISCAL YEAR FISCAL YEAR FISCAL YEAR 2013/2014 2014/2015 2015/2016 REVENUES ACTUAL BUDGET BUDGET COMMENTS Interest Income 28 500 50 Projected Interest For 2015/2016 NAV Collection 499,636 496,636 482,744 Maximum Debt Service Collection Prepaid Bond Collection 200,463 0 0 Prepaid Bond Collection Total Revenues $ 700,127 $ 497,136 $ 482,794 EXPENDITURES Principal Payments 225,000 230,000 220,000 Principal Payment Due In 2016 Interest Payments 236,492 265,636 251,506 Interest Payments Due In 2016 Principal Prepayments 15,000 1,500 11,288 Principal Prepayments Total Expenditures $ 476,492 $ 497,136 $ 482,794 Excess/(Shortfall) $ 223,635 $ - $ - Series 2013 Bond Refunding Information Original Par Amount= $7,105,000 Annual Principal Payments Due= May 1st Interest Rate= 1.1%-5.0% Annual Interest Payments Due= May 1st&November 1st Issue Date= June 2013 Maturity Date= May 2035 I 4/2/2015 12:29 PM Verona Walk Community Development District Assessment Comparison Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year Lot 2011/2012 2012/2013 2013/2014 2014/2015 2015/2016 Size Assessment' Assessment* Assessment* Assessment* Projected Assessment* Phase One Townhome 26' 0&M $ 47.79 $ 47.50 $ 47.50 $ 162.13 $ 162.13 Cayman Debt $ 600.00 $ 600.00 $ 540.00 $ 540.00 $ 540.00 Total $ 647.79 $ 647.50 $ 587.50 $ 702.13 $ 702.13 Duplex 36' 0&M $ 47.79 $ 47.50 $ 47.50 $ 162.13 $ 162.13 Capri/Carrington Debt $ 600.00 $ 600.00 $ 540.00 $ 540.00 $ 540.00 Total $ 647.79 $ 647.50 $ 587.50 $ 702.13 $ 702.13 Single Family 50' 0&M $ 47.79 $ 47.50 $ 47.50 $ 162.13 $ 162.13 Oakmont Debt $ 706.00 $ 706.00 $ 635.00 $ 635.00 $ 635.00 Total $ 753.79 $ 753.50 $ 682.50 $ 797.13 $ 797.13 Single Family 60' 0&M $ 47.79 $ 47.50 $ 47.50 $ 162.13 $ 162.13 Carlyle Debt $ 812.00 $ 812.00 $ 730.00 $ 730.00 $ 730.00 Total $ 859.79 $ 859.50 $ 777.50 $ 892.13 $ 892.13 Phase Two Duplex 36'/SF 40' O&M $ 47.79 $ 47.50 $ 47.50 $ 162.13 $ 162.13 Capri/Carrington Debt $ 600.00 $ 600.00 $ 600.00 $ 600.00 $ 600.00 Total $ 647.79 $ 647.50 $ 647.50 $ 762.13 $ 762.13 Single Family 40' 0&M $ 47.79 $ 47.50 $ 47.50 $ 162.13 $ 162.13 Garden Debt $ 600.00 $ 600.00 $ 678.00 $ 678.00 $ 678.00 Total $ 647.79 $ 647.50 $ 725.50 $ 840.13 $ 840.13 Single Family 50' 0&M $ 47.79 $ 47.50 $ 47.50 $ 162.13 $ 162.13 Oakmont Debt $ 706.00 $ 706.00 $ 706.00 $ 706.00 $ 706.00 Total $ 753.79 $ 753.50 $ 753.50 $ 868.13 $ 868.13 Single Family 60' 0&M $ 47.79 $ 47.50 $ 47.50 $ 162.13 $ 162.13 Carlyle Debt $ 812.00 $ 812.00 $ 812.00 $ 812.00 $ 812.00 Total $ 859.79 $ 859.50 $ 859.50 $ 974.13 $ 974.13 Single Family 65' 0&M $ 47.79 $ 47.50 $ 47.50 $ 162.13 $ 162.13 Estate Debt $ 812.00 $ 812.00 $ 892.00 $ 892.00 $ 892.00 Total $ 859.79 $ 859.50 $ 939.50 $ 1,054.13 $ 1,054.13 *Assessments Include the Following: 4%Discount for Early Payments 2%County Property Appraiser Costs 1.5%County Tax Collector Costs Community Information: Phase I Maximum Annual Lot No.of Units Type Front Footage Name Debt Assessment Bond Prepayments Differential Prepayment* 246 Townhome 26' Cayman $ 540 2 68 350 Duplex 36' Capri/Carrington $ 540 8 0 242 Single Family 50' Oakmont $ 635 6 -35 97 Single Family 60' Carlyle $ 730 0 1 935 16 34 Phase II Maximum Annual Lot Disclosure No.of Units Type Front Footage Name Debt Assessment Bond Prepayments Differential Prepayment** 443 Duplex/SF 36'/40' Capri/Carrington $ 600 2 -4 58 Duplex 40' Garden $ 678 0 4 325 SF 50' Oakmont $ 706 4 0 161 SF 60'/65' Carlyle $ 812 0 0 32 SF 65' Estate $ 892 0 0 1019 6 0 *Developer made Bond Prepayment in August 2014 for 34 lot differential(68 Phase 1 Caymans replaced with 34 Oakmonts) *Developer made Bond Prepayment in November 2014 for 1 lot differential(1 Phase 1 Carlyle replaced with 1 Oakmont) **Developer made Bond Prepayment in November 2014 for 4 lot disclosure differential(4 40'disclosed at 36'/40'rate) 4/2/2015 12:29 PM v b (t ra 6).1- .6 0 et O W n W CD 1 1 t .-J W p �� rti-11 t'711 Q 0 - 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