Agenda 09/19/2013 BBCC
FY 14 FINAL
BUDGET MEETING
AGENDA
SEPTEMBER 19, 2013
Collier County Government
Final Budget Public Hearing
FY 2014
Government Building F
3rd Floor Board Room
3299 Tamiami Tr., East
Naples, FL 34112
Leo E. Ochs, Jr.
County Manager
Mark Isackson
Director of Corporate
Financial Planning &
Management Services
Phone: 239 -252 -8973
NONE "
a _
Presented by: Office of Management & Budget
September 19, 2013
5:05 P.M.
COLLIER COUNTY
BOARD OF COUNTY COMMISSIONERS
^ AGENDA
Thursday, September 19, 2013, 5:05 p.m.
NOTICE: ALL PERSONS WISHING TO SPEAK ON ANY AGENDA ITEM MUST
REGISTER PRIOR TO SPEAKING.
ANY PERSON WHO DECIDES TO APPEAL A DECISION OF THIS BOARD
WILL NEED A RECORD OF THE PROCEEDINGS PERTAINING THERETO,
AND THEREFORE MAY NEED TO ENSURE THAT A VERBATIM RECORD OF
THE PROCEEDINGS IS MADE, WHICH RECORD INCLUDES TESTIMONY
AND EVIDENCE UPON WHICH THE APPEAL IS TO BE BASED.
ALL REGISTERED PUBLIC SPEAKERS WILL BE LIMITED TO THREE (3)
MINUTES UNLESS PERMISSION FOR ADDITIONAL TIME IS GRANTED BY
THE CHAIRMAN.
1. PLEDGE OF ALLEGIANCE
2. ADVERTISED PUBLIC HEARING — Collier County FY 2013 -14 Budget
A. Discussion of FY 2013 -14 Millage Rates and Increases Over the Rolled Back Millage
^ Rates
B. Discussion of Further Amendments to the Tentative Budget
C. Public Comments and Questions
D. Resolution to Amend the Tentative Budgets
E. Public Reading of the Taxing Authority Levying Millage, the Name of the Taxing Authority,
the Rolled -Back Rate, the Percentage Increase, and the Millage Rate to be Levied.
F. Adoption of Resolution Setting Millage Rates. Note: A separate motion is required for
the Dependent District millage rates; and a separate motion is required for the remaining
millage rates.
G. Resolution to Adopt the Final Budget by Fund. Note: A separate motion is required for
the Dependent District budgets; and a separate motion is required for the remaining
budgets.
3. ADJOURN
Office of the County Manager
Leo E. Ochs, Jr.
FL()itll
3299 Tamiami Trail East, Suite 202 - Naples Florida 34112 -5746 • (239) 252 -8383 - FAX: (239) 252 -4010
MEMORANDUM
TO: Board of County Commissioners (BCC)
FROM: Leo E. Ochs, Jr.
County Manager
DATE: September 12, 2013
SUBJECT: FY 2014 Final Budget Public Hearing Documents
Attached are the documents for the Final FY 2013 -14 Budget Public Hearing scheduled for
September 19, 2013 at 5:05 p.m.
Pursuant to Florida statutes defining the annual truth in millage process (TRIM), an
advertisement for this hearing will be published in the Naples Daily News on Monday,
September 16, 2013. The final hearing was also announced at the first public budget hearing on
September 5, 2013 and was contained within Resolution 2013 -161 approving the tentative
millage rates and budget passed by the Board of County Commissioners on July 9, 2013.
The Board directed staff to proceed with compensation adjustments at the September 5th budget
hearing and the vast majority of budget changes for this final hearing contained within our
customary resolution format reflect that direction. Budget changes stemming from Board action
on September 10th are also included. Resolutions amending the tentative budget from September
5th are prepared at the fund level. Many of the individual fund resolutions reflect no change from
the first budget hearing on September 5th. These no change fund resolutions are expense side
appropriation adjustments which increase personal services, operating, capital and/or transfers
with a corresponding expense side balancing entry — usually from reserves. A resolution
depicting a fund increase or decrease typically means that a revenue transaction has occurred. In
these instances fund revenue received via transfer or carryforward may increase or decrease. A
complete summary of changes as well as individual detailed fund change resolutions are
included within your packet. No changes to the roster of millage rates approved at the September
5th budget hearing are proposed.
In the interim, if you have any questions, please contact me at your convenience.
Enclosure
c: Mark Isackson, Director Corporate Financial Planning
Division Administrators
OMB Staff
n
Collier County, Florida
Property Tax Rates
FY 2014 Proposed
Prior Year
Rolled Back
Proposed
Millage
Millage
Millage
% Change Frm.
Fund Title
Fund No.
Rate
Rate
Rate
Rolled Back
General Fund
001
3.5645
3.4785
3.5645
2.47%
Water Pollution Control
114
0.0293
0.0286
0.0293
2.45%
3.5938
3.5071
3.5938
2.47%
Unincorporated Area General Fund
111
0.7161
0.7024
0.7161
1.95%
Golden Gate Community Center
130
0.1990
0.1939
0.1909
-1.55%
Victoria Park Drainage
134
0.0479
0.0458
0.0479
4.59%
Naples Park Drainage
139
0.0090
0.0085
0.0085
0.00%
Vanderbilt Beach MSTU
143
0.5000
0.4897
0.5000
2.10%
Isle of Capri Fire
144
2.0000
1.9830
2.0000
0.86%
Ochopee Fire Control
146
4.0000
4.0755
4.0000
-1.85%
Collier County Fire
148
2.0000
1.8067
2.0000
10.70%
Goodland/Horr's Island Fire MSTU
149
1.2760
1.3342
1.2760
- -4.36%
Sabal Palm Road MSTU
151
0.1000
0.0416
0.1000
140.38%
Golden Gate Parkway Beautification
153
0.4753
0.4583
0.4583
0.00%
Lely Golf Estates Beautification
152
2.0000
1.9355
2.0000
3.33%
Hawksridge Stormwater Pumping MSTU
154
0.0500
0.0482
0.0482
0.00%
Radio Road Beautification
158
0.3210
0.3185
0.3185
0.00%
Forest Lakes Roadway & Drainage MSTU
159
1.1551
1.1527
1.1610
0.72%
Immokalee Beautification MSTU
162
0.9354
0.9162
0.9162
0.00%
Bayshore Avalon Beautification
163
2.3754
2.3604
2.3604
0.00%
Haldeman Creek Dredging
164
0.7735
0.7348
0.7348
0.00%
Rock Road
165
3.0000
2.9672
3.0000
1.11%
Radio Road East MSTU
166
0.2401
0.2306
0.2306
0.00%
Conservation Collier
172
0.1651
0.1610
0.0000
- 100.00%
Forest Lakes Debt Service
259
2.8449
2.8391
2.8390
0.00%
Radio Road East Debt Service
266
0.2319
0.2227
0.2193
-1.53%
Conservation Collier Debt Service (2005)
272
0.0849
0.0828
0.0000
- 100.00%
Collier County Lighting
760
0.1631
0.1578
0.1631
3.36%
Pelican Bay MSTBU
778
0.0857
0.0849 1
0.0857
0.94%
Aggregate Millage Rate
4.3214
4.2222
4.1518
-1.67%
AGENDA ITEM
No. 2 is-
SEP 19 2013
Pg /
Collier County, Florida
Property Tax Dollars
FY 2014 Proposed
Prior Year
Current Year
Proposed
Fund
Adjusted Tax
Rolled Back
Tax
% Change
Fund Title
No.
Dollars
Tax Dollars
Dollars
Frm. Rolled Back
General Fund
001
206,110,252
211,224,461
216,446,627
2.47%
Water Pollution Control
114
1,713,838
1,736,674
1,779,180
2.45%
207,824,090
212,961,135
218,225,807
2.47%
Unincorporated Area General Fund
111
25,602,482
26,181,591
26,692,251
1.95%
Golden Gate Community Center
130
282,170
286,349
281,919
-1.55%
Victoria Park Drainage
134
1,236
1,235
1,292
4.62%
Naples Park Drainage
139
7,758
7,790
7,790
0.00%
Vanderbilt Beach MSTU
143
952,027
954,352
974,425
2.10%
Isle of Capri Fire
144
1,012,509
1,020,654
1,029,404
0.86%
Ochopee Fire Control
146
1,242,744
1,249,556
1,226,407
-1.85%
Collier County Fire
148
274,889
275,655
305,147
10.70%
Goodland /Hon's Island Fire MSTU
149
93,695
94,006
89,906
-4.36%
Sabal Palm Road MSTU
151
914
913
2,194
140.31%
Lely Golf Estates Beautification
152
185,395
185,829
192,021
3.33%
Golden Gate Parkway Beautification
153
245,375
246,067
246,067
0.00%
Hawksridge Stormwater Pumping MSTU
154
2,645
2,646
2,646
0.00%
Radio Road Beautification
158
306,850
308,219
308,219
0.00%
Forest Lakes Roadway & Drainage MSTU
159
149,835
149,903
150,983
0.72%
Immokalee Beautification MSTU
162
274,148
277,402
277,402
0.00%
Bayshore Avalon Beautification
163
837,350
840,240
840,240
0.00%
Haldeman Creek Dredging
164
51,401
51,645
51,645
0.00%
Rock Road
165
30,070
30,278
30,613
1.11%
Radio Road East MSTU
166
81,520
83,199
83,199
0.00%
Conservation Collier
172
9,657,155
9,776,380
0
- 100.00%
Forest Lakes Debt Service
259
369,028
369,212
369,199
0.00%
Radio Road East Debt Service
266
78,736
80,349
79,122
-1.53%
Conservation Collier Debt Service (2005)
272
4,966,036
5,027,853
0
- 100.00%
Collier County Lighting
760
620,446
624,322
645,291
3.36%
Pelican Bay MSTBU
778
440,396
441,293
445,451
0.94%
Total Taxes Levied
255,590,900
261,528,073
252,558,640
Aggregate Taxes
250,177,100
256,050,659
252,110,319
AGENDA ITEM
No. �..�
SEA 9 ?'?
pg 2
Collier County, Florida
Taxable Property Values
For FY 2014
Prior Year
Current Year
Current Year
Fund
Gross
Adjusted
Gross
%
Fund Title
No.
Taxable Value
Taxable Value
Taxable Value
Change
County Wide Taxable Values
General Fund
001
58,492,762,303
59,972,601,105
60,722,857,859
3.81%
Water Pollution Control
114
58,492,762,303
59,972,601,105
60,722,857,859
3.81%
Dependent Districts and MSTU's
Unincorporated Area General Fund
111
36,026,786,779
36,742,716,862
37,274,474,478
3.46%
Golden Gate Community Center
130
1,417,939,719
1,455,128,882
1,476,787,032
4.15%
Victoria Park Drainage
134
25,800,371
26,970,405
26,977,258
4.56%
Naples Park Drainage
139
861,946,039
911,102,184
916,454,600
6.32%
Vanderbilt Beach MSTU
143
1,904,053,751
1,944,209,380
1,948,849,572
2.35%
Isle of Capri Fire
144
506,254,523
510,583,446
514,702,011
1.67%
Ochopee Fire Control
146
310,685,963
304,932,334
306,601,844
-1.31%
Collier County Fire
148
137,444,344
152,152,652
152,573,507
11.01%
Goodland /Horn's Island Fire MSTU
149
73,429,053
70,224,928
70,458,981
-4.04%
Sabal Palm Road MSTU
151
9,137,285
21,944,403
21,944,403
140.16%
Lely Golf Estates Beautification
152
92,697,303
95,787,728
96,010,647
3.57%
Golden Gate Parkway Beautification
153
516,253,177
535,348,974
536,912,682
4.00%
Hawksridge Stormwater Pumping MSTU
154
52,900,675
54,845,616
54,891,794
3.76%
Radio Road Beautification
158
955,918,992
963,491,650
967,719,885
1.23%
Forest Lakes Roadway & Drainage MSTU
159
129,715,669
129,980,985
130,045,455
0.25%
Immokalee Beautification MSTU
162
293,080,859
299,236,129
302,774,662
3.31%
Bayshore Avalon Beautification
163
352,508,901
354,744,318
355,973,519
0.98%
Haldeman Creek Dredging
164
66,452,318
69,950,913
70,284,334
5.77%
Rock Road
165
10,023,393
10,134,089
10,204,176
1.80%
Radio Road East MSTU
166
339,525,637
353,479,952
360,794,734
6.26%
Conservation Collier
172
58,492,762,303
59,972,601,105
60,722,857,859
3.81%
Forest Lakes Debt Service
259
129,715,669
129,980,985
130,045,455
0.25%
Radio Road East Debt Service
266
339,525,637
353,479,952
360,794,734
6.26%
Conservation Collier Debt Service (2005)
272
58,492,762,303
59,972,601,105
60,722,857,859
3.81%
Collier County Lighting
760
3,804,083,724
3,932,311,161
3,956,415,218
4.00%
Pelican Bay MSTBU
778 1
5,138,804,912
5,189,882,510
5,197,797,456
1.15%
AGEND ,,A ITEM
No.
SEP
Pg -3.
SUMMARY OF CHANGES
TO THE FY 2014 TENTATIVE BUDGET
Court IT Fee Fund (178) $o Provides appropriation to fund Board approved compensation adjustment. ITEM
Major funding source is Fees Reserves were decreased by the same amount. AGENDA
c NO. 7
9/11/2013 I
pg
NET CHANGE TO
FUND TITLE /(NUMBER)
FUND TOTAL
EXPLANATION
General Fund (001)
$575,000
Carryforward revenue was increased by $425,000 reflecting Sheriffs turn back
Major funding sources are Ad Valorem, Half
which will be used to fund Special Operations build -out project in Fund (301).
Cent Sales Tax and State Revenue Sharing
A transfer to and from Fleet Management Fund (52 1) has been added as a cash
flow mechanism. The balance of changes provide appropriations to fund Board
approved compensation adjustments for the Managers Agency, the Sheriff, the
Supervisor of Elections, the Clerk, Airport and Courts. Reserves were decreased
by the same amount.
Clerk of Courts Fund (011)
$84,000
Provides appropriation to fund Board approved compensation adjustment.
Major funding sources are a General Fund
Transfer from General Fund (00 1) was increased by the same amount.
Transfer and fees
Sheriff Fund (040)
$1,572,300
Provides appropriation to fund Board approved compensation adjustment.
Major funding source is a General Fund Transfer
Transfer from General Fund (001) was increased by the same amount.
Supervisor of Elections (080)
$24,300
Provides appropriation to fund Board approved compensation adjustment.
Major funding sources is a General Fund
Transfer from General Fund (00 1) was increased by the same amount.
Transfer
Transportation Services (101)
$0
Provides appropriation to fund Board approved compensation adjustment.
Major funding source is a General Fund Transfer
Reserves were decreased by the same amount.
Right of Way Permitting (102)
$0
Provides appropriation to fund Board approved compensation adjustment.
Major funding source are Licenses and
Reserves were decreased by the same amount.
Permitting Fees
Impact Fee Administration (107)
$0
Provides appropriation to fund Board approved compensation adjustment.
Major funding sources are Licenses & Pemut
Reserves were decreased by the same amount.
fees as well as administrative fees
Pelican Bay MSTBU (109)
$0
Provides appropriation to fund Board approved compensation adjustment.
Major funding source is Special Assessments
Reserves were decreased by the same amount.
Unincorporated General Fund MSTU (111)
$0
Provides appropriation to fund Board approved compensation adjustment.
Major funding sources are Ad Valorem and
Reserves were decreased by the same amount.
Communication Services Tax
Community Development (113)
$0
Provides appropriation to fund Board approved compensation adjustment.
Major funding source is Building Permit
Reserves were decreased by the same amount.
Revenues
Water Pollution Control (114)
$0
Provides appropriation to fund Board approved compensation adjustment.
Major funding source is Ad Valorem
Reserves were decreased by the same amount.
Golden Gate Community Center (130)
$0
Provides appropriation to fund Board approved compensation adjustment.
Major funding source is Ad Valorem generated
Reserves were decreased by the same amount.
by the MSTU and a transfer from MSTD (111)
Planning Services (131)
$0
Provides appropriation to fund Board approved compensation adjustment.
Major funding source is Developer Fees
Reserves were decreased by the same amount.
Isle of Capri Fire District (144)
$0
Provides appropriation to fund Board approved compensation adjustment.
Major funding source is Ad Valorem
Reserves were decreased by the same amount.
Ochopee Fire District (146)
$22,900
Provides appropriation to fund Board approved compensation adjustment.
Major funding source is Ad Valorem
Transfer from General Fund (00 1) was increased by the same amount
Teen Court (171)
$1,800
Provides appropriation to fund Board approved compensation adjustment.
Major funding source is Fines
Transfer from Court Admin Fund (68 1) was increased by the same amount.
Conservation Collier Maintenance (174)
$0
Provides appropriation to fund Board approved compensation adjustment.
Major funding source is Ad Valorem
Reserves were decreased by the same amount.
Court IT Fee Fund (178) $o Provides appropriation to fund Board approved compensation adjustment. ITEM
Major funding source is Fees Reserves were decreased by the same amount. AGENDA
c NO. 7
9/11/2013 I
pg
TDC Tourism Promotion (184)
Major funding source is Tourist Tax
TDC Engineering (185)
Major funding source is Tourist Tax
Immokalee Redevelop (186)
Major funding source is General Fund Transfer
Bayshore/Gateway Triangle (187)
Major funding source is General Fund Transfer
TDC Administration (194)
Major funding source is Tourist Tax
TDC Beach Renourishment (195)
Major funding source is Tourist Tax
Museums (198)
Major funding source is Tourist Tax
County-Wide Capital Projects (301)
Major funding source is a General Fund Transfer
Road Gas Tax Operating (312)
Major funding source is a Transfer from the Gas
Tax Road Coast. Fund
Road Const. - Gas Tax Fund (313)
Major funding sources are Gas Taxes and a
Transfer from the General Fund
Stormwater Operating Fund (324)
Major funding source is a Transfer from the
General Fund
Stormwater Capital Proj. Fund (325)
Major funding source is a Transfer from the
General Fund
County Water /Sewer District Operations (408)
Major funding source is User Fees
CAT Transit Enhancement (426) Major
funding sources are User Fees and a General
Fund Transfer
9/11/2013
SUMMARY OF CHANGES
TO THE FY 2014 TENTATIVE BUDGET
NET CHANGE TO
FUND TOTAL EXPLANATION
($21,200) Provides appropriation to fund Board approved compensation adjustment in
TDC Administration & Operations Fund (194). Estimated year end balance
transfer into TDC Promotion Fund (184) from TDC Administration &
Operations Fund (194) was reduced to reflect compensation adjustment.
Reserves in Fund (184) were adjusted by the same amount.
$0 Provides appropriation to fund Board approved compensation adjustment.
Reserves were decreased by the same amount.
$40,000 Provides appropriation to fund Board approved compensation adjustment.
Reserves were adjusted by the same amount. Additionally, as approved by the
Board on 9 -10 -13 under items 16B2 & 16B3, increase canyforward by $40,000
and add same amount to the Commercial Fagade Improvement Program grant
budget for County Kitchens and CPA and Paralegal & Notary Multi Services.
$0 Provides appropriation to fund Board approved compensation adjustment as well
as downward salary adjustments related to staffing turnover. Reserves were
adjusted by the same amount.
$0 Provides appropriation to fund Board approved compensation adjustment.
Reserves and estimated year end balance transfer to TDC Promotion Fund (184)
were adjusted by the same amount.
($9,430,000) As approved by the Board on 9 -10 -13 under item I IA, the budget is revised to
reflect moving County Beach Renourishment project back into FY 13 to allow
contract to be awarded in September. Cant' forward was reduced by the same
amount.
$0 Provides appropriation to fund Board approved compensation adjustment.
Reserves were decreased by the same amount.
$1,185,000 Provides for Sheriffs Special Operations Build -out and Records Management
Upgrades. Source of funding is Sheriffs turn -back for the Special Ops project
and settlement proceeds from the original Records Management contractor for
completing the Records Management Upgrades.
$32,800
Provides appropriation to fund Board approved compensation adjustment. The
transfer from Gas Tax Capital Fund (313) and reserves were adjusted by the
same amount.
$0
The Transfer to Gas Tax Operating Fund (312) was adjusted to accommodate
pay adjustment in Fund (312). Reserves were adjusted by the same amount.
($33,000)
Provides appropriation to fund Board approved compensation adjustment as well
as Personal Service reduction for position that has been reassigned to Road &
Bridge Fund (101). The transfer in from Stormwater Capital Fund (325) was
adjusted downward by the same amount.
$o
Transfer to (324) Stormwater Operations is reduced reflecting the reassignment
of a Stormwater Operations position, formerly budgeted in Stormwater
Engineering Fund (324), to Road & Bridge Fund (101).
$0
Provides appropriation to fund Board approved compensation adjustment.
Reserves were decreased by the same amount.
$0
Provides appropriation to fund Board approved compensation adjustment.
Reserves were decreased by the same amount.
AGENDA ITEM
k
1A D. ___2_ _
SEP 19 201^3
pI P
9
SUMMARY OF CHANGES
TO THE FY 2014 TENTATIVE BUDGET
NET CHANGE TO
FUND TTTLERNUMBER) FUND TOTAL EXPLANATION
Transportation Disadvantaged (427) $0 Provides appropriation to fund Board approved compensation adjustment
Major funding source is a General Fund Transfer Reserves were decreased by the same amount.
Solid Waste Disposal (470)
$0
Provides appropriation to fund Board approved compensation adjustment.
Major funding source is User Fees
Reserves were decreased by the same amount.
EMS (490)
$299,600
Provides appropriation to fund Board approved compensation adjustment.
Major funding sources are Ambulance Fees and
Transfer from General Fund (001) was increased by the same amount.
Transfer from the General Fund
County Airport (495)
$23,100
Provides appropriation to fund Board approved compensation adjustment
Major funding sources are Charges for Service
Transfer from General Fund (00 1) was increased by the same amount.
and Aviation Fuel Sales
Information Technology (505)
$0
Provides appropriation to fund Board approved compensation adjustment.
Major funding sources are Reimbursements from
Reserves were reduced by the same amount.
Other Depts.
Property & Casualty (516)
$0
Provides appropriation to fund Board approved compensation adjustment.
Major funding sources are Premium Allocations
Reserves were reduced by the same amount.
to Other Depts.
Group Health & Life (517)
$0
Provides appropriation to fund Board approved compensation adjustment.
Major funding sources are Premium Allocations
Reserves were reduced by the same amount.
to Other Depts.
Workers Compensation (518)
$0
Provides appropriation to fund Board approved compensation adjustment.
Major funding sources are Premium Allocations
Reserves were reduced by the same amount.
to Other Depts.
Fleet Management (521)
$150,000
Provides appropriation to fund Board approved compensation adjustment.
Major funding sources are Reimbursements from
Reserves were reduced by the same amount. A transfer from the General Fund
Other Depts. and Fuel Sales
(001) was established to ensure sufficient cash flow for operations. A like
transfer back to the General Fund was established to facilitate reimbursement to
the General Fund.
Utility Fee Trust (669)
$0
Provides appropriation to fund Board approved compensation adjustment.
Major funding sources are Franchise Fees
Reserves were decreased by the same amount.
Court Administration (681)
$41,600
Provides appropriation to fund Board approved compensation adjustment.
Major funding sources are Probation Fees and
Transfer to Teen Court Fund (171) was increased to cover the compensation
Transfer from the General Fund
adjustment within that fund. The transfer from the General Fund (001) was
increased to cover these adjustments.
Pelican Bay Lighting Dist. (778)
$0
Provides appropriation to fund Board approved compensation adjustment.
Major funding source is Ad Valorem
Reserves were reduced by the same amount.
Total ($5,431,800)
Gross Budget at 1st Public Hearing
Gross Amended Tentative Budget
9/11/2013
$1,309,497,000
$1,304,065,200
AGENDA ITEM
No. —,Z— 6--°
SEP ? 9/ 2013
a9 3
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
GENERAL FUND (001)
-Management Offices
FY 14
(62,100)
FY 14 Amended
%
Administrative Support Services
Tentative
Changes
Tentative
Budget
Aporonriation Unit
Budget
Increase (Decrease)
Budget
Chan ce
County Commissioners
1,127,800
16,300
1,144,100
1.4%
Other General Administrative
7,146,200
0
7,146,200
0.0%
County Attorney
2,578,200
65,000
2,643,200
2.5%
Airport Operations (495)
267,900
23,100
291,000
8.6%
Sub -Total
11,120,100
41,600
11,224,500
0.9%
-Management Offices
3,344,100
(62,100)
3,282,000
-1.90/0
Administrative Support Services
19,867,800
356,200
20,224,000
1.8%
Public Services
27,022,500
393,500
27,416,000
1.5%
Growth Management
101,300
0
101,300
0.0%
Sub -Total County Manager
50,335,700
51,023,300
1.4%
Courts & Rel Agencies
496,700
0
496,700
0.0%
Various Transfers
42,800
0
42,800
0.0%
Trans to 681
1,199,600
41,600
1,241,200
3.5%
Sub -Total Courts
1,739,100
1,780,700
2.4%
Road & Bridge (101)
15,548,500
0
15,548,500
0.0%
MSTD General (I 11)
139,700
0
139,700
0.0%
Ochopee Fire District (146)
440,700
22,900
463,600
5.2%
Immokalee Redevelopment (186)
266,300
0
266,300
0.0%
Gateway Triangle (187)
785,000
0
785,000
0.0%
800 MHz (188)
576,400
0
576,400
0.0%
Museum (198)
200,000
0
200,000
0.0%
Transportation Disadvantage (427/429)
2,378,100
0
2,378,100
0.0%
EMS (490)
11,335,100
299,600
11,634,700
2.6%
EMS Capital (491)
3,800,000
0
3,800,000
0.0%
Fleet (521)
0
150,000
150,000
N/A
Human Services Grants (708)
8,200
0
8,200
0.0%
Sub -Total
35,478,000
35,950,500
1.3%
Reserve for Cash Flow
22,700,000
(2,700,000)
20,000,000
-11.9%
Reserve for Contingencies (2.52 %)
6,793,700
(122,600)
6,671,100
-1.8%
Reserve for Attrition
(439,600)
(14,100)
(453,700)
3.2%
Sub -Total Reserves
29,054,100
26,217,400
-9.8%
Transfers Debt/Capital
2010,2010B, 2011 Bond (298)
Co Wide Capital (301)
Roads CIP (313)
Stormwater Mgmt (324/325)
Isle of Capri Fire Impact Fee (373)
Sub -Total Debt/Capital
Transfers /Constitutional Officers
Clerk of Courts
Clerk of Courts - BCC Paid
Property Appraiser
Property Appraiser -BCC Paid
Sheriff
Sheriff- Debt Service (385)
Sheriff- BCC Paid
Supervisor of Elections
Supervisor of Elections - BCC Paid
Tax Collector
Tax Collector - BCC Paid
Sub- Total/Trans Const.
Total Fund Appropriations
3,657,700
10,758,700
8,768,800
4,730,100
20,000
27,935,300
5,635,500
572,000
5,222,500
148,600
131,973,300
1,700,000
2,926,700
3,117,300
65,200
12,100,000
222,000
163,683,100
0
425,000
0
0
0
84,000
0
0
0
1,572,300
0
0
24,300
0
0
0
3,657,700
11,183,700
8,768,800
4,730,100
20,000
/6,S6U,.iUU
5,719,500
572,000
5,222,500
148,600
133,545,600
1,700,000
2,926,700
3,141,600
65,200
12,100,000
222,000
log, _ios, /UU
319,345,400 575,000 319,920 400
0.0%
4.0%
0.0%
0.0%
0.0%
1.5%
1.5%
0.0%
0.0%
0.0%
1.2%
0.0%
0.0%
0.8%
0.0%
0.0%
0.0%
1.0%
2a/ AGENDA ITEM
9/10/20136:27 PM SEP 19 2013
Pn
/0_�,
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
GENERAL FUND (001)
9/1020136:27 PM
Changes in Expenditures
Appropriation to fund Board approved compensation adjustment
Increased Transfers to cover Comp Adj (fds 495, 681, 146, 490, Clerk, Sheriff, & SOE)
Transfer to Fleet (521) to provide working capital - loan
Transfer to Co -Wide Cap (301) Sheriff Special Ops Center
Decrease Reserves for Contingencies (to rebalance Fund)
Decrease Reserves for Cash Flow (to rebalance Fund)
Total Expenditure increase (decrease)
Changes in Revenue
Transfer from Fleet (521) to pay back loan at end of year
Increase Carryforward - Sheriff Turn back recognized in FY 13
Total Revenue increase (decrease)
754,800
2,067,800
150,000
425,000
(122,600)
(2,700,000)
575,000
150,000
425,01 10
575,oi ,o AGENDA ITEM
No. _Q 6
SEP 19 201'3)
Pg
FY 14
FY 14 Amended
%
Tentative
Changes
Tentative
Budget
Revenues
Bu et
Increase (Decrease)
Budget
Change
Current Ad Valorem Taxes
216,446,600
0
216,446,600
0.00/0
Delinquent Ad Valorem Taxes
300,000
0
300,000
0.00/0
Fish And Wildlife Refuge Rev Sharing
340,000
0
340,000
0.0%
Federal Payment In Lieu Of Taxes
700,000
0
700,000
0.0%
State Revenue Sharing
7,800,000
0
7,800,000
0.0%
Insurance Agents County Licenses
75,000
0
75,000
0.0%
Alcoholic Beverage Licenses
160,000
0
160,000
0.0%
Local Government Half Cent Sales Tax
31,000,000
0
31,000,000
0.0%
Oil/Gas Severance Tax
350,000
0
350,000
0.0%
Enterprise Fund PILOT
5,331,900
0
5,331,900
0.0%
Interest Tax Collector
4,000
0
4,000
0.0%
Rent Golden Gate Pub Safety Complex
16,800
0
16,800
0.0%
Indirect Cost Reimbursement
6,851,300
0
6,851,300
0.0%
Miscellaneous Revenue
15,000
0
15,000
0.0%
Sub -Total
269,390,600
269,390,600
0.0%
Department Revenues
7,288,700
0
7,288,700
0.00/0
Sub -Total General Revenues
276,679,300
276,679,300
0.0%
Impact Fee Deferral Program (002)
52,300
0
52,300
0.0%
Uninc Area MSTD General I'd (111)
247,600
0
247,600
0.0%
Commun Develop (113)
0
0
0
N/A
Pollution Control (114)
0
0
0
N/A
Misc Grant funds (116/118)
137,100
0
137,100
0.0%
Tourist Development - Beach (195)
160,000
0
160,000
0.0%
Debt Service Fund (220)
1,300
0
1,300
0.0%
Parks and Recreation Capital (306)
0
0
0
N/A
Road Construction (313)
0
0
0
N/A
Airport Capital (496)
0
0
0
N/A
Workers Comp (518)
900,000
0
900,000
0.0%
Fleet (521)
0
150,000
150,000
N/A
Board Interest
285,000
0
285,000
0.0%
Clerk of Circuit Court
100,000
0
100,000
0.0%
Tax Collector
5,000,000
0
5,000,000
0.0%
Sheriff
0
0
0
N/A
Property Appraiser
500,000
0
500,000
0.00/0
Supervisor of Elections
0
0
0
N/A
Carryforward
48,801,900
425,000
49,226,900
0.9%
Less 5% Required by Law
(13,519,100)
0
(13,519,100)
0.0%
Total Other Sources
42,666,100
43,241,100
1.3%
Total Fund Revenues
319,345,400
575,000
319,920,400
0.2%
9/1020136:27 PM
Changes in Expenditures
Appropriation to fund Board approved compensation adjustment
Increased Transfers to cover Comp Adj (fds 495, 681, 146, 490, Clerk, Sheriff, & SOE)
Transfer to Fleet (521) to provide working capital - loan
Transfer to Co -Wide Cap (301) Sheriff Special Ops Center
Decrease Reserves for Contingencies (to rebalance Fund)
Decrease Reserves for Cash Flow (to rebalance Fund)
Total Expenditure increase (decrease)
Changes in Revenue
Transfer from Fleet (521) to pay back loan at end of year
Increase Carryforward - Sheriff Turn back recognized in FY 13
Total Revenue increase (decrease)
754,800
2,067,800
150,000
425,000
(122,600)
(2,700,000)
575,000
150,000
425,01 10
575,oi ,o AGENDA ITEM
No. _Q 6
SEP 19 201'3)
Pg
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
CLERK OF COURTS FUND (0 11)
Revenues
Charges for Services
Interest/Misc
Trans fm Board
Less 5% Required by Law
Total Revenues
2,789,900
FY 14
2,789,900
FY 14 Amended
%
0
Tentative
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
6,447,700
84,000
6,531,700
1.3%
Operating Expenses
1,720,900
0
1,720,900
0.0%
Capital Outlay
137,300
0
137,300
0.0%
Total Appropriation
8,305,900
84,000
8,389,900
1.0%
Revenues
Charges for Services
Interest/Misc
Trans fm Board
Less 5% Required by Law
Total Revenues
2,789,900
0
2,789,900
0.0%
21,000
0
21,000
0.0%
5,635,500
84,000
5,719,500
1.5%
(140,500)
0
(140,500)
0.0%
8,305,900
84,000
8,389,900
1.0%
Provides appropriation for fund Board approved compensation adjustment. The transfer from General Fund (001)
was increased by the same amount.
9/10/20134:37 PM
AGENDA ITEM
No. ---,8
SEP?��n�
Pg lv
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
SHERIFF FUND (040)
Revenues
Trans frm Board 131,973,300
Total Revenues 131,973,300
1,572,300
1,572,300
133,545,600 1.2%
133,545,600 1.2%
Provides appropriation for fund Board approved compensation adjustment. The transfer from General Fund (001)
was increased by the same amount.
9/10/20133:29 PM
AGENDA
No. ITEM
SEP 19 2017
L L Pg
FY 14
FY 14 Amended
%
Tentative
Changes
Tentative
Budget
AApR opriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
106,828,500
1,572,300
108,400,800
1.5%
Operating Expense
24,775,100
0
24,775,100
0.0%
Capital Outlay
369,700
0
369,700
0.0%
Trans to 001 General Fund
0
0
0
N/A
Total Appropriation
131,973,300
1,572,300
133,545,600
1.2%
Revenues
Trans frm Board 131,973,300
Total Revenues 131,973,300
1,572,300
1,572,300
133,545,600 1.2%
133,545,600 1.2%
Provides appropriation for fund Board approved compensation adjustment. The transfer from General Fund (001)
was increased by the same amount.
9/10/20133:29 PM
AGENDA
No. ITEM
SEP 19 2017
L L Pg
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
SUPERVISOR OF ELECTIONS FUND (080)
Revenues
Miscellaneous Revenues
Interest/Misc
Trans fm Board
Total Revenues
Budget
Chance
1.3%
0.0%
0.0%
N/A
0.8%
0 0 0 N/A
0 0 0 N/A
3,117,300 24,300 3,141,600 0.8%
3,1179300 24,300 3,141,600 0.8%
Provides appropriation for fund Board approved compensation adjustment. The transfer from General Fund (00 1)
was increased by the same amount.
9/10/20133:27 PM
AGENDAITEM�
SEP 19 201?
Pg
Tentative
FY 14 Amended
FY 14
Changes
Tentative
Appropriation Unit
Budget
Increase (Decrease)
Budget
Personal Services
1,942,800
24,300
1,967,100
Operating Expenses
1,160,500
0
1,160,500
Capital Outlay
14,000
0
14,000
Trans to 001 General Fund
0
0
0
Total Appropriation
3,117,300
24,300
3,141,600
Revenues
Miscellaneous Revenues
Interest/Misc
Trans fm Board
Total Revenues
Budget
Chance
1.3%
0.0%
0.0%
N/A
0.8%
0 0 0 N/A
0 0 0 N/A
3,117,300 24,300 3,141,600 0.8%
3,1179300 24,300 3,141,600 0.8%
Provides appropriation for fund Board approved compensation adjustment. The transfer from General Fund (00 1)
was increased by the same amount.
9/10/20133:27 PM
AGENDAITEM�
SEP 19 201?
Pg
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
TRANSPORTATION SERVICES (101)
Revenues
Intergovernmental Revenue
Tentative
0
FY 14 Amended
%
SFWMD/Big Cypress Revenue
FY 14
Changes
Tentative
Budget
Anropriation Unit
Bu et
Increase (Decrease)
Budget
Change
Personal Services
9,191,900
189,400
9,381,300
2.1%
Operating Expense
6,111,000
0
6,111,000
0.0%
Indirect Cost Reimburse
241,800
0
241,800
0.0%
Capital Outlay
1,807,000
0
1,807,000
0.0%
Trans to 216 Debt Sery Fd
0
0
0
N/A
Trans to 298 Sp Ob Bd'1
1,189,300
0
1,189,300
0.0%
Reserves For Contingencies
383,600
(228,100)
155,500
-59.5%
Reserve for Attrition
(183,500)
38,700
(144,800)
-21.1%
Total Appropriation
18,741,100
0
18,741,100
0.0%
Revenues
Intergovernmental Revenue
542,200
0
542,200
0.0%
SFWMD/Big Cypress Revenue
1,000,000
0
1,000,000
0.0%
Charges For Services
8,000
0
8,000
0.0%
Miscellaneous Revenues
150,400
0
150,400
0.0%
Interest/Misc
8,100
0
8,100
0.0%
Reimb From Other Depts
230,000
0
230,000
0.0%
Trans fin 001 Gen Fund
15,548,500
0
15,548,500
0.0%
Trans $n 107 Imp Fee Adm
0
0
0
N/A
Trans fm 111 MSTD Gen Fd
0
0
0
N/A
Trans fin 131 Dev Sery Fd
75,000
0
75,000
0.0%
Carry Forward
1,204,600
0
1,204,600
0.0%
Less 5% Required By Law
(25,700)
0
(25,700)
0.0%
Total Revenues
18,741,100
0
18,741,100
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount.
9/10/20133:29 PM
AGENDA ITEM!
No. ` 246
SEE 19 20?7t
Pg
BUDGET RESOLUTION n
CHANGES TO THE FY 2014 TENTATIVE BUDGET
RIGHT OF WAY PERMITTING (102)
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount.
9/10/20133:31 PM
AGENDA 1TEF1 '
No. Q
SEE 19 2
pg - AP
Tentative
FY 14 Amended
%
FY 14
Changes
Tentative
Budget
ApRWriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
267,300
5,600
272,900
2.1%
Operating Expense
64,800
0
64,800
0.0%
Indirect Cost Reimburse
11,000
0
11,000
0.0%
Reserves For Contingencies
33,700
0
33,700
0.0%
Reserves For Capital
34,700
(5,600)
29,100
-16.1%
Reserves For Cash Flow
86,300
0
86,300
0.0%
Total Appropriation
497,800
0
497,800
0.0%
Revenues
Licenses & Permits
345,000
0
345,000
0.0%
Miscellaneous Revenues
0
0
0
N/A
Interest/Misc
0
0
0
N/A
Carry Forward
170,100
0
170,100
0.0%
Less 5% Required By Law
(17,300)
0
(17,300)
0.0%
Total Revenues
497,800
0
497,800
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount.
9/10/20133:31 PM
AGENDA 1TEF1 '
No. Q
SEE 19 2
pg - AP
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
IMPACT FEE ADM 41STRATION (107)
Revenues
Licenses & Permits
Requested
0
FY 14
%
Charges for Services
FY 14
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Buda et
Change
Personal Services
480,100
9,300
489,400
1.9%
Operating Expenses
274,900
0
274,900
0.0%
Indirect Cost Reimburse
49,100
0
49,100
0.0%
Reserves for Contingencies
74,500
0
74,500
0.0%
Reserves for Capital
154,500
(9,300)
145,200
-6.0%
Reserves for Cash Flow
75,000
0
75,000
0.0%
Total Appropriation
1,108,100
0
1,108,100
0.0%
Revenues
Licenses & Permits
120,000
0
120,000
0.0%
Charges for Services
50,000
0
50,000
0.0%
Reimb from Other Depts
463,000
0
463,000
0.0%
Trans fm 111 MSTD Gen Fd
100,000
0
100,000
0.0%
Carry Forward
383,600
0
383,600
0.0%
Less 5% Required by Law
(8,500)
0
(8,500)
0.0%
Total Revenues
1,108,100
0
1,108,100
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount.
9/10/2013 5:45 PM
AGENDA ITEM
No. _ 213
SEP 9 2011-
pg
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
PELICAN BAY BEAUTIFICATION MSTBU (109)
Revenues
Special Assessments
Tentative
0
FY 14 Amended
%
Charges for Services
FY 14
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Bud et
Change
Personal Services
1,022,100
23,500
1,045,600
2.3%
Operating Expenses
1,249,500
0
1,249,500
0.0%
Indirect Cost Reimburse
80,300
0
80,300
0.0%
Capital Outlay
16,500
0
16,500
0.0%
Trans to Property Appraiser
72,700
0
72,700
0.0%
Trans to Tax Collector
82,700
0
82,700
0.0%
Trans to 320 Clam Bay Cap Fd
0
0
0
N/A
Trans to 322 Pel Bay Irr and Land
210,000
0
210,000
0.0%
Trans to 408 Water /Sewer Fd
15,900
0
15,900
0.0%
Reserves for Contingencies
116,100
0
116,100
0.0%
Reserves for Capital
518,100
(22,900)
495,200
4.4%
Reserve for Attrition
(16,100)
(600)
(16,700)
3.7%
Total Appropriation
3,367,800
0
3,367,800
0.0%
Revenues
Special Assessments
2,689,600
0
2,689,600
0.0%
Charges for Services
1,500
0
1,500
0.0%
Miscellaneous Revenues
0
0
0
N/A
Interest/Misc
15,200
0
15,200
0.0%
Trans fin Property Appraiser
0
0
0
N/A
Trans fin Tax Collector
0
0
0
N/A
Carry Forward
796,800
0
796,800
0.0%
Less 5% Required by Law
(135,300)
0
(135,300)
0.0%
Total Revenues
3,367,800
0
3,367,800
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were reduced by the
same amount.
9/10/20133:31 PM
AGENDA STEM ^q
No.. -2 ,
SEP!9�,
Pg -Z:z
Changes in Expenditures
Appropriation to fund Board approved compensation adjustment 298,300
Decrease Reserves for Contingencies (to rebalance Fund) (48,200)
Decrease Reserves for Cash Flow (to rebalance Fund) (250,100)
Total Expenditure increase (decrease) 0
9/102013 4:53 PM
AGENDA ITEM
No.
SEP 19 2013
pg /3
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
MSTD GENERAL FUND (111)
FY 14
FY 14 Amended
%
Tentative
Changes
Tentative
Budget
Appropriation Unit
Bud
Increase (Decrease)
Budget
Change
Personal Services
14,063,300
247,800
14,311,100
1.8%
Operating Expenses
17,013,800
0
17,013,800
0.0%
Indirect Cost Reimburse
2,058,400
0
2,058,400
0.00/0
Capital Outlay
74,000
0
74,000
0.00/0
Remittances
500,000
0
500,000
0.00/0
Trans to Property Appraiser
266,400
0
266,400
0.0%
Trans to Tax Collector
666,000
0
666,000
0.00/0
Trans to 001 General Fund
247,600
0
247,600
0.0%
Trans to 107 Impact Fee Admin
100,000
0
100,000
0.0%
Trans to 113 Com Dev Fd
338,500
0
338,500
0.0%
Trans to 128/712 MPO Fd
5,000
0
5,000
0.00/0
Trans to 130 GG Com Ctr Fd
376,300
0
376,300
0.00/0
Trans to 131 Plan Sery Fd
219,500
0
219,500
0.0%
Trans to 186 Immok Redev Fd
53,500
0
53,500
0.0%
Trans to 187 Bayshore Redev Fd
157,700
0
157,700
0.0%
Trans to 320 Clam Bay Cap Fd
32,300
0
32,300
0.0%
Trans to 325 Stormw Cap Fd
1,300,000
0
1,300,000
0.0%
Reserves For Contingencies
93,700
(48,200)
45,500
-51.4%
Reserves For Cash Flow
2,150,100
(250,100)
1,900,000
-11.6%
Reserve for Attrition
(281,000)
50,500
(230,500)
-18.0%
Total Appropriation
39,435,100
0
39,435,100
0.0%
Revenues
Ad Valorem Taxes
26,692,300
0
26,692,300
0.0%
Delinquent Ad Valorem Taxes
50,000
0
50,000
0.0%
Communications Services Tax
4,800,000
0
4,800,000
0.0%
Licenses & Permits
482,000
0
482,000
0.0%
Special Assessments
10,000
0
10,000
0.0%
Charges For Services
2,807,500
0
2,807,500
0.0%
Fines & Forfeitures
355,000
0
355,000
0.0%
Miscellaneous Revenues
164,500
0
164,500
0.0%
Interest/Misc
50,000
0
50,000
0.0%
Trans frm Property Appraiser
100,000
0
100,000
0.0%
Trans frm Tax Collector
100,000
0
100,000
0.00/0
Trans fm 001 Gen Fund
139,700
0
139,700
0.00/0
Trans fin 112 Landscape Cap
118,800
0
118,800
0.0%
Trans fm 117 Nat Res Grants
13,800
0
13,800
0.0%
Trans fin 119 P & R Grants
63,200
0
63,200
0.0%
Trans fin 131 Dev Sery Fd
75,000
0
75,000
0.00/0
Trans fin 136 G Gate Beaut Fd
27,800
0
. 27,800
0.00/0
Trans fin 143 Vander Beaut Fd
54,000
0
54,000
0.0%
Trans fm 158 Radio Rd Beaut Fd
28,100
0
28,100
0.0%
Trans fin 151 Sable Palm Rd Ex Fd
6,500
0
6,500
0.0%
Trans fm 152 Lely Golf Beaut Fd
29,400
0
29,400
0.0%
Trans fin 159 Forest Lake Fd
36,000
0
36,000
0.0%
Trans fin 165 Rock Rd
1,400
0
1,400
0.0%
Trans fin 166 Radio Rd East MSTU
24,200
0
24,200
0.0%
Cary Forward
4,969,200
0
4,969,200
0.0%
Less 5% Required By Law
(1,763,300)
0
(1,763,300)
0.00/0
Total Revenues
39,435,100
0
39,435,100
0.0%
.r'�
-
-
Changes in Expenditures
Appropriation to fund Board approved compensation adjustment 298,300
Decrease Reserves for Contingencies (to rebalance Fund) (48,200)
Decrease Reserves for Cash Flow (to rebalance Fund) (250,100)
Total Expenditure increase (decrease) 0
9/102013 4:53 PM
AGENDA ITEM
No.
SEP 19 2013
pg /3
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
COMMUNITY DEVELOPMENT (113)
Revenues
Licenses & Permits
Tentative
0
FY 14 Amended
%
Building Permits
FY 14
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Bu et
Change
Personal Services
7,727,600
178,300
7,905,900
2.3%
Operating Expense
2,820,200
0
2,820,200
0.0%
Indirect Cost Reimburse
435,400
0
435,400
0.0%
Capital Outlay
390,500
0
390,500
0.0%
Trans to 001 General Fund
0
0
0
N/A
Trans to 107 Impact Fee
0
0
0
N/A
Trans to 298 Sp Ob Bd'l
402,300
0
402,300
0.0%
Trans to 669 Utility Tru
100,000
0
100,000
0.0%
Reserves For Contingencies
346,300
0
346,300
0.0%
Reserves For Capital
1,756,600
(198,100)
1,558,500
-11.3%
Reserves For Cash Flow
1,147,100
0
1,147,100
0.0%
Reserve for Attrition
(151,300)
19,800
(131,500)
-13.1%
Total Appropriation
14,974,700
0
14,974,700
0.0%
Revenues
Licenses & Permits
1,103,500
0
1,103,500
0.0%
Building Permits
7,519,700
0
7,519,700
0.0%
Reinspection Fees
521,000
0
521,000
0.0%
Charges For Services
72,200
0
72,200
0.0%
Miscellaneous Revenues
8,900
0
8,900
0.0%
Interest/Misc
0
0
0
N/A
Reimb From Other Depts
351,000
0
351,000
0.0%
Trans fin 111 MSTD Gen Fd
338,500
0
338,500
0.0%
Trans fin 114 Pollutn Ctrl
16,300
0
16,300
0.0%
Trans fin 131 Dev Sery Fd
75,000
0
75,000
0.0%
Trans fm 185 Beach Ren O
10,000
0
10,000
0.0%
Trans fin 194 TDC Prom Fd
58,000
0
58,000
0.0%
Trans fin 310 CDES Cap Fd
85,300
0
85,300
0.0%
Carry Forward
5,293,700
0
5,293,700
0.0%
Less 5% Required By Law
(478,400)
0
(478,400)
0.0%
Total Revenues
14,974,700
0
14,974,700
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount.
9/10/20133:33 PM
AGENDA�TEM
No.
SEP 19 201')
pg /Y
,.� BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
WATER POLLUTION CONTROL (114)
Total Appropriation
Tentative
0
FY 14 Amended
%
Revenues
FY 14
Changes
Tentative
Budget
Appropriation Unit
Buda et
Increase (Decrease)
Bu et
Chance
Personal Services
1,529,300
35,600
1,564,900
2.3%
Operating Expenses
782,600
0
782,600
0.0%
Indirect Cost Reimburse
92,800
0
92,800
0.0%
Capital Outlay
9,200
0
9,200
0.0%
Trans to Property Appraiser
15,500
0
15,500
0.0%
Trans to Tax Collector
48,900
0
48,900
0.0%
Trans to 001 General Fund
0
0
0
N/A
Trans to 113 Com Dev Fd
16,300
0
16,300
0.0%
Trans to 131 Plan Sery Fd
0
0
0
N/A
Trans to 408 Water /Sewer Fd
0
0
0
N/A
Reserves for Contingencies
121,900
0
121,900
0.0%
Reserves for Capital
249,300
(34,700)
214,600
-13.9%
Reserves for Cash Flow
474,800
0
474,800
0.0%
Reserve for Attrition
(24,500)
(900)
(25,400)
3.7%
Total Appropriation
3,316,100
0
3,316,100
0.0%
Revenues
Ad Valorem Taxes
1,779,200
0
1,779,200
0.0%
Delinquent Ad Valorem Taxes
0
0
0
N/A
Licenses & Permits
200
0
200
0.0%
Intergovernmental Revenues
0
0
0
N/A
Charges for Services
291,700
0
291,700
0.0%
Miscellaneous Revenues
0
0
0
N/A
Interest/Misc
6,400
0
6,400
0.0%
Reimb From Other Depts
61,800
0
61,800
0.0%
Trans fin Property Appraiser
0
0
0
N/A
Trans fin Tax Collector
0
0
0
N/A
Carry Forward
1,283,800
0
1,283,800
0.0%
Less 5% Required by Law
(107,000)
0
(107,000)
0.0%
Total Revenues
3,316,100
0
3,316,100
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were reduced by the
same amount.
9/10/20133:34 PM
AGENDA ITEM
No. _eA 3
SEP 19 20,13
Pg /�r_
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
GOLDEN GATE COMMUNITY CENTER (130)
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount.
9/10/20133:36 PM
AGENDA1TEM
N o. H
SEP 1 _ 00 2013
Pg AG
rte,
Tentative
FY 14 Amended
%
FY 14
Changes
Tentative
Budget
Appropriation Unit
Bu et
Increase (Decrease)
Budget
Chance
Personal Services
516,200
13,200
529,400
2.6%
Operating Expense
344,600
0
344,600
0.0%
Indirect Cost Reimburse
81,700
0
81,700
0.0%
Capital Outlay
0
0
0
N/A
Trans to Property Appraiser
2,600
0
2,600
0.0%
Trans to Tax Collector
6,600
0
6,600
0.0%
Reserves For Contingencies
7,300
0
7,300
0.0%
Reserves For Capital
94,100
(13,200)
80,900
-14.0%
Total Appropriation
1,053,100
0
1,053,100
0.0%
Revenues
Ad Valorem Taxes
281,900
0
281,900
0.0%
Delinquent Ad Valorem Tax
0
0
0
N/A
Charges For Services
235,100
0
235,100
0.0%
Miscellaneous Revenues
0
0
0
N/A
Interest/Misc
1,100
0
1,100
0.0%
Trans frm Property Apprai
0
0
0
N/A
Trans frm Tax Collector
0
0
0
N/A
Trans fin 111 MSTD Gen Fd
376,300
0
376,300
0.0%
Carry Forward
184,600
0
184,600
0.0%
Less 5% Required By Law
(25,900)
0
(25,900)
0.0%
Total Revenues
1,053,100
0
1,053,100
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount.
9/10/20133:36 PM
AGENDA1TEM
N o. H
SEP 1 _ 00 2013
Pg AG
rte,
� BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
PLANNING SERVICES (13 1)
106%, Revenues
Tentative
FY 14 Amended
%
Licenses & Permits
FY 14
Changes
Tentative
Budget
Appropriation Unit
Bu et
Increase (Decrease)
Budget
Change
Personal Services
2,338,100
67,300
2,405,400
2.9%
Operating Expense
708,600
0
708,600
0.0%
Indirect Cost Reimburse
267,900
0
267,900
0.0%
Capital Outlay
99,000
0
99,000
0.0%
Advance/Repay to 306 Pk
400,000
0
400,000
0.0%
Trans to 101 Transp Op Fd
75,000
0
75,000
0.0%
Trans to 107 Impact Fee
0
0
0
N/A
Trans to 111 Unincorp Gen
75,000
0
75,000
0.0%
Trans to 113 Com Dev Fd
75,000
0
75,000
0.0%
Reserves For Contingencies
414,600
0
414,600
0.0%
Reserves For Debt Service
1,013,600
0
1,013,600
0.0%
Reserves For Capital
865,400
(64,700)
800,700
-7.5%
Reserves For Cash Flow
552,000
0
552,000
0.0%
Reserve for Attrition
(38,800)
(2,600)
(41,400)
6.7%
Total Appropriation
6,845,400
0
6,845,400
0.0%
106%, Revenues
Licenses & Permits
1,409,100
0
1,409,100
0.0%
Reinspection Fees
300,000
0
300,000
0.0%
Charges For Services
1,259,600
0
1,259,600
0.0%
Miscellaneous Revenues
0
0
0
N/A
Interest/Misc
22,700
0
22,700
0.0%
Reimb From Other Depts
0
0
0
N/A
Trans fin 111 MSTD Gen Fd
219,500
0
219,500
0.0%
Trans fin 114 Pollute Ctrl
0
0
0
N/A
Carry Forward
3,783,400
0
3,783,400
0.0%
Less 5% Required By Law
(148,900)
0
(148,900)
0.0%
Total Revenues
6,845,400
0
6,845,400
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount.
9/10/20133:37 PM
AGENDA ITEM
No.. A,Q
SEP 1 10 2013
Pg �_Z-
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
ISLE OF CAPRI FIRE CONTROL DISTRICT (144)
Revenues
Ad Valorem Taxes
Tentative
0
FY 14 Amended
%
Delinquent Ad Valorem Taxes
FY 14
Changes
Tentative
Budget
ApRropriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
1,006,700
17,900
1,024,600
1.8%
Operating Expenses
196,000
0
196,000
0.0%
Indirect Cost Reimburs
31,600
0
31,600
0.0%
Capital Outlay
5,100
0
5,100
0.0%
Trans to Property Appraiser
9,400
0
9,400
0.0%
Trans to Tax Collector
20,800
0
20,800
0.0%
Trans to 714 Co Mgr Match
0
0
0
N/A
Trans to 301 Co Wide Cap Fd
0
0
0
N/A
Reserves for Contingencies
21,300
(17,500)
3,800
-82.2%
Reserve for Attrition
(17,000)
(400)
(17,400)
2.4%
Total Appropriation
1,273,900
0
1,273,900
0.0%
Revenues
Ad Valorem Taxes
1,029,400
0
1,029,400
0.0%
Delinquent Ad Valorem Taxes
0
0
0
N/A
Charges for Services
9,000
0
9,000
0.0%
Miscellaneous Revenues
2,500
0
2,500
0.0%
Interest/Misc
1,000
0
1,000
0.0%
Trans fin Property Appraiser
1,500
0
1,500
0.0%
Trans fin Tax Collector
8,600
0
8,600
0.0%
Trans fin 148 Collier Fire Fd
58,400
0
58,400
0.0%
Trans fm 490 EMS Fd
3,000
0
3,000
0.0%
Carry Forward
212,600
0
212,600
0.0%
Less 5% Required by Law
(52,100)
0
(52,100)
0.0%
Total Revenues
1,273,900
0
1,273,900
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were reduced by the
same amount.
9/10/20133:37 PM
AGENDA ITEM
No. _ A e
S E P? 9 20-17-1
Pg �8
niO
/"k,
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
OCHOPEE FIRE CONTROL DISTRICT (146)
Provides appropriation for fund Board approved compensation adjustment. The transfer from General Fund (001)
was increased by the same amount.
9/10/20133:38 PM
AGENDA ITEM
No. ®-®3 —
SEP 19 2013
pg -_Jy
Tentative
FY 14 Amended
%
FY 14
Changes
Tentative
Budget
Annropriation Unit
Bu et
Increase Decrease)
Budget
Chance
Personal Services
1,422,000
26,700
1,448,700
1.9%
Operating Expenses
346,700
0
346,700
0.0%
Indirect Cost Reimburse
36,600
0
36,600
0.0%
Capital Outlay
13,000
0
13,000
0.0%
Trans to Property Appraiser
11,300
0
11,300
0.0%
Trans to Tax Collector
26,500
0
26,500
0.0%
Trans to 714 Co Mgr Match
0
0
0
N/A
Trans to 301 Co Wide Cap Fd
0
0
0
N/A
Reserves for Contingencies
900
0
900
0.0%
Reserve for Attrition
(20,500)
(3,800)
(24,300)
18.5%
Total Appropriation
1,836,500
22,900
1,859,400
1.2%
Revenues
Ad Valorem Taxes
1,226,400
0
1,226,400
0.0%
Delinquent Ad Valorem Taxes
2,000
0
2,000
0.0%
Charges for Services
1,200
0
1,200
0.0%
Miscellaneous Revenues
800
0
800
0.0%
Interest/Misc
2,800
0
2,800
0.0%
Advance/Repay fin 001 Gen Fd
0
0
0
N/A
Trans $n Property Appraiser
900
0
900
0.0%
Trans $n Tax Collector
8,900
0
8,900
0,0%
Trans fn 001 Gen Fd
440,700
22,900
463,600
5.2%
Trans fm 148 Collier Fire Fd
85,900
0
85,900
0.0%
Carry Forward
128,600
0
128,600
0.0%
Less 5% Required by Law
(61,700)
0
(61,700)
0.0%
Total Revenues
1,836,500
22,900
1,859,400
1.2%
Provides appropriation for fund Board approved compensation adjustment. The transfer from General Fund (001)
was increased by the same amount.
9/10/20133:38 PM
AGENDA ITEM
No. ®-®3 —
SEP 19 2013
pg -_Jy
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
TEEN COURT FUND (171)
Revenues
Fines & Forfeitures
FY 14
0
FY 14 Amended
%
Transfer from 681 Court Admin
Tentative
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Bud et
Chance
Personal Services
75,300
1,800
77,100
2.4%
Operating Expenses
2,400
0
2,400
0.0%
Remittances
3,000
0
3,000
0.0%
Reserves
0
0
0
N/A
Total Appropriation
80,700
1,800
82,500
2.2%
Revenues
Fines & Forfeitures
69,000
0
69,000
0.0%
Transfer from 681 Court Admin
15,200
1,800
17,000
11.8%
Carryforward
0
0
0
N/A
Less 5% Required by Law
(3,500)
0
(3,500)
0.0%
Total Revenues
80,700
1,800
82,500
2.2%
r1
Provides appropriation for fund Board approved compensation adjustment. The transfer from Court
Administration Fund (68 1) was increased by the same amount.
AGENDFTLE 9
No.
pg 20
9/10/20133:40 PM
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
CONSERVATION COLLIER MAINTENANCE (174)
Revenues
Tentative
FY 14 Amended
%
Miscellaneous Revenues
FY 14
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Bu et
Change
Personal Services
343,800
7,200
351,000
2.1%
Operating Expense
1,285,100
0
1,285,100
0.0%
Indirect Cost Reimburse
47,600
0
47,600
0.0%
Capital Outlay
0
0
0
N/A
Trans to 179 Consry Coll
95,500
0
95,500
0.0%
Trans to 704 Ad Sery Gra
0
0
0
N/A
Trans to 272 Debt Sery Fd
0
0
0
N/A
Trans to 674 Carr Pres
244,600
0
244,600
0.0%
Reserves For Contingencies
22,900
0
22,900
0.0%
Reserves For Capital
30,964,300
(7,200)
30,957,100
0.0%
Total Appropriation
33,003,800
0
33,003,800
0.0%
Revenues
Miscellaneous Revenues
5,200
0
5,200
0.0%
Interest/Misc
187,100
0
187,100
0.0%
Reimb From Other Depts
0
0
0
N/A
Trans fin 172 Consery Coll
4,826,300
0
4,826,300
0.0%
Trans fin 272 Consery Co
0
0
0
N/A
Trans fin 273 Conservation
34,900
0
34,900
0.0%
Trans fin 703/704 Ad Sry
400
0
400
0.0%
Carry Forward
27,959,500
0
27,959,500
0.0%
Less 5% Required By Law
(9,600)
0
(9,600)
0.0%
Total Revenues
33,003,800
0
33,003,800
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount.
9/10/20133:41 PM
AGENDA ITEM
No. -AB
SEP 19 2013
Pg 2-
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
COURT INFORMATION TECHNOLOGY FEE FUND (178)
Revenues
Charges for Services
Interest/Misc.
Carryforward
Less 5% Required by Law
Total Revenues
750,000
FY 14
750,000
FY 14 Amended
%
0
Tentative
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Bu et
Chance
Personal Services
61,500
1,700
63,200
2.8%
Operating Expenses
712,000
0
712,000
0.0%
Indirect Cost Reimbursement
15,900
0
15,900
0.0%
Capital Outlay
90,700
0
90,700
0.0%
Reserve for Contingencies
43,900
0
43,900
0.0%
Reserves for Capital
418,600
(1,700)
416,900
-0.4%
Total Appropriation
1,342,600
0
1,342,600
0.0%
Revenues
Charges for Services
Interest/Misc.
Carryforward
Less 5% Required by Law
Total Revenues
750,000
0
750,000
0.0%
3,000
0
3,000
0.0%
627,100
0
627,100
0.0%
(37,500)
0
(37,500)
0.0%
1,342,600
0
1,342,600
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were
reduced by the same amount.
AGENDA ITEM
No._�3
SEP 9 291
pg- ZZ
9/10/20133:41 PM
r
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
TDC - TOURISM PROMOTION (184)
Revenues
Tourist Devel Tax
Tentative
0
FY 14 Amended
%
Miscellaneous Revenues
FY 14
Changes
Tentative
Budget
Apnroyri
9,000
0
Bu dg
Change
Operating Expense
7,058,600
0
7,058,600
0.0%
Indirect Cost Reimburse
39,700
0
39,700
0.0%
Trans to Tax Collector
108,800
0
108,800
0.0%
Reserve for Contingencies
197,000
(21,200)
175,800
-10.8%
Total Appropriation
7,404,100
(21,200)
7,382,900
-0.3%
Revenues
Tourist Devel Tax
5,440,200
0
5,440,200
0.0%
Miscellaneous Revenues
35,000
0
35,000
0.0%
Interest/Misc
9,000
0
9,000
0.0%
Transfer from 183 TDC Beach Park Fac
50,000
0
50,000
0.0%
Transfer from 194 TDC Admin Promo
302,600
(21,200)
281,400
-7.0%
Transfer from 195 TDC Beach Renourish
150,000
0
150,000
0.0%
Transfer from 196 TDC Disaster Promo
95,800
0
95,800
0.0%
Carry Forward
1,595,700
0
1,595,700
0.0%
Less 5% Required By Law
(274,200)
0
(274,200)
0.0%
Total Revenues
7,404,100
(21,200)
7,382,900
-0.3%
Provides appropriation to fund Board approved compensation adjustment in TDC Administration & Operations Fund
(194). Estimated year end balance transfer into TDC Promotion Fund (184) from TDC Administration & Operations
Fund (194) was reduced to reflect compensation adjustment. Reserves in Fund (184) were adjusted by the same amount.
9/10/20133:45 PM
AGENDA ITEM
Flo. _s„z� B
SEP 19 2013
P9 Z 3
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
TDC - ENGINEERING (185)
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount.
AGENDA ITEN9
No. �_ g
SEP - 201
Pg
9/10/20133:45 PM
Tentative
FY 14 Amended
%
FY 14
Changes
Tentative
. Budget
Appropriation Unit
Bu et
Increase (Decrease)
Budget
Change
Personal Services
451,900
19,800
471,700
4.4%
Operating Expense
113,000
0
113,000
0.0%
Indirect Cost Reimburse
46,100
0
46,100
0.0%
Capital Outlay
1,500
0
1,500
0.0%
Trans to Tax Collector
0
0
0
N/A
Trans to 113 Com Dev Fd
10,000
0
10,000
0.0%
Reserves For Contingencies
20,800
(19,800)
1,000
-95.2%
Total Appropriation
643,300
0
643,300
0.0%
Revenues
Miscellaneous Revenues
0
0
0
N/A
Interest/Misc
0
0
0
N/A
Trans fin 195 TDC Cap Fd
643,300
0
643,300
0.0%
Carry Forward
0
0
0
N/A
Total Revenues
643,300
0
643,300
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount.
AGENDA ITEN9
No. �_ g
SEP - 201
Pg
9/10/20133:45 PM
n
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
DAN40KALEE REDEVELOPMENT (186)
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount. Additionally, as approved by the Board on 9 -10 -13 under items 16132 & 16133, increase carryforward
by $40,000 and add same amount to the Commercial Fagade Improvement Program grant budget for County
Kitchens and CRA and Paralegal & Notary Multi Services.
9/10/20133:45 PM
AGENDAITEM
SEP 19 2011
pg A
Tentative
FY 14 Amended
%
FY 14
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
351,600
6,600
358,200
1.9%
Operating Expense
100,400
0
100,400
0.0%
Indirect Cost Reimburse
60,800
0
60,800
0.0%
Capital Outlay
2,000
0
2,000
0.0%
Grants and Aid
20,000
40,000
60,000
200.0%
Reserves For Contingencies
37,300
(6,600)
30,700
-17.7%
Reserves For Capital
0
0
0
N/A
Total Appropriation
572,100
40,000
612,100
7.0%
Revenues
Interest/Misc
1,000
0
1,000
0.0%
Trans fin 001 Gen Fund
266,300
0
266,300
0.0%
Trans fm 111 MSTD Gen Fd
53,500
0
53,500
0.0%
Trans fin 162 Immokalee Be
76,000
0
76,000
0.0%
Carry Forward
175,400
40,000
215,400
22.8%
Less 5% Required By Law
(100)
0
(100)
0.0%
Total Revenues
572,100
40,000
612,100
7.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount. Additionally, as approved by the Board on 9 -10 -13 under items 16132 & 16133, increase carryforward
by $40,000 and add same amount to the Commercial Fagade Improvement Program grant budget for County
Kitchens and CRA and Paralegal & Notary Multi Services.
9/10/20133:45 PM
AGENDAITEM
SEP 19 2011
pg A
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
BAYSHORE/GATEWAY TRIANGLE REDEVELOPMENT (187)
Revenues
Miscellaneous Revenues
Tentative
0
FY 14 Amended
%
Interest/Misc
FY 14
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
256,300
(3,900)
252,400
-1.5%
Operating Expense
155,300
0
155,300
0.0%
Indirect Cost Reimburse
39,600
0
39,600
0.0%
Capital Outlay
0
0
0
N/A
Grants and Aid
20,000
0
20,000
0.0%
Trans to 287 CRA Loan
905,700
0
905,700
0.0%
Reserves For Contingencies
47,100
3,900
51,000
8.3%
Reserves For Capital
315,400
0
315,400
0.0%
Total Appropriation
1,739,400
0
1,739,400
0.0%
Revenues
Miscellaneous Revenues
317,000
0
317,000
0.0%
Interest/Misc
5,000
0
5,000
0.0%
Trans fm 001 Gen Fund
785,000
0
785,000
0.0%
Trans fin 111 MSTD Gen Fd
157,700
0
157,700
0.0%
Trans fin 163 Baysh/Av Bea
125,500
0
125,500
0.0%
Trans fin 164 Haldeman Cr
11,300
0
11,300
0.0%
Carry Forward
354,000
0
354,000
0.0%
Less 5% Required By Law
(16,100)
0
(16,100)
0.0%
Total Revenues
1,739,400
0
1,739,400
0.0%
Provides appropriation to fund Board approved compensation adjustment as well as downward salary
adjustments related to staffing changes. Reserves were adjusted by the same amount.
9/10/20133:45 PM
=,,AGENDA
r
/\
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
TDC - ADMINISTRATION & OPERATIONS (194)
Tentative FY 14 Amended %
FY 14 Changes Tentative Budget
Appropriation Unit Bu et Increase (Decreasel Budget Change
Personal Services
865,100
36,000
901,100
4.2%
Operating Expense
350,800
0
350,800
0.0%
Indirect Cost Reimburse
57,300
0
57,300
0.0%
Capital Outlay
37,000
0
37,000
0.0%
Trans to Tax Collector
41,700
0
41,700
0.0%
Trans to 113 Com Dev Fund
58,000
0
58,000
0.0%
Trans to 184 TDC Promo Fund
302,600
(21,200)
281,400
-7.0%
Reserve for Attrition
0
(14,800)
(14,800)
N/A
Total Appropriation
1,712,500
0
1,712,500
0.0%
Revenues
Tourist Devel Tax
1,800,600
0
1,800,600
0.0%
Miscellaneous Revenues
0
0
0
N/A
Interest/Misc
2,000
0
2,000
0.0%
Carry Forward
0
0
0
N/A
Less 5% Required By Law
(90,100)
0
(90,100)
0.0%
Total Revenues
1,712,500
0
1,712,500
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves and estimated year end balance
transfer to TDC Promotion Fund (184) were adjusted by the same amount.
9/10/20133:45 PM
AGENDAITEM
No. _A
SEP 19 201
Pg A-7-
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
TDC BEACH RENOURISHMENT FUND (195)
Appropriation Unit
Operating Expenses
Indirect Cost Reimbursement
Capital Outlay
Trans to Tax Collector
Trans to (00 1) Gen'l Fund
Trans to (184) TDC Promo
Trans to (185) TDC Eng
Trans to (710)Pub Services Grant Match
Reserve for Contingency
Reserve for Potential Reimb.
Reserve for Catastrophe
Total Appropriation
Revenues
Tourist Tax Revenue
Intergovernmental Revenue
Misc. Revenue
Interest Revenue
Carry Forward
Less 5% Required By Law
Total Revenues
Tentative FY 14 Amended
Budge
Increase (Decrease)
Budget
453,000
0
453,000
31,300
0
31,300
15,368,000
(14,500,000)
868,000
142,700
0
142,700
160,000
0
160,000
150,000
0
150,000
643,300
0
643,300
0
0
0
392,600
0
392,600
13,200,000
0
13,200,000
0
5,070,000
5,070,000
30,540,900
(9.430.000)
21110900
Budget
Change
0.0%
0.0%
- 94.4%
0.0%
0.0%
0.0%
0.0%
N/A
0.0%
0.0%
N/A
-.su.y ro
5,706,000
0
5,706,000
0.0%
0
0
0
N/A
0
0
0
N/A
150,000
0
150,000
0.0%
24,977,700
(9,430,000)
15,547,700
-37.8%
(292,800)
0
(292,800)
0.0%
30,540,900
(9,430,000)
21,110,900
- 30.9%
As approved by the Board on 9 -10 -13 under item 1 IA, the project budget is revised to reflect moving County Beach
Renourishment project back into FY 13 to allow contract to be awarded in September.
Forecast Tentative Budget
FY13 Changes FYI Changes
Increase (Decrease) Increase (Decrease)
Changes in Proiect Expenditure Budgets
Collier Beach Renourishment Proj 80096 9,430,000 (14,500,000) BCC action 9/10, item 1
Total Project Changes
Changes in Non - Proiect Expenditures
Reserve for Catastrophe Proj 99331
Total Non - Project Expenses
Total Carry forward FYI (decrease) increase
Total Increase (Decreases) in FY 14
9/10/20133:46 PM
9,430,000 (14,500,000)
0 5,070,000
0 5,070,000
(9,430,000)
(9,430,000)
AGENDA LN9
td o. � TE
SEP 19 20131
Pg z8
r�
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
MUSEUM (198)
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount.
9/10/20133:46 PM
AGENDALJEM
No - ---- -- - fJ
SEP 19 2013
Pg z,?
Tentative
FY 14 Amended
%
FY 14
Changes
Tentative
Budget
Appropriation Unit
Bu et
Increase (Decrease)
Budget
Change
Personal Services
1,007,700
60,900
1,068,600
6.0%
Operating Expense
397,300
0
397,300
0.0%
Indirect Cost Reimburse
220,300
0
220,300
0.0%
Capital Outlay
0
0
0
N/A
Remittances
0
0
0
N/A
Trans to Tax Collector
33,000
0
33,000
0.0%
Trans to 314 Museum Cap
0
0
0
N/A
Reserves For Contingencies
79,400
(58,300)
21,100
-73.4%
Reserves For Cash Flow
200,000
0
200,000
0.0%
Reserve for Attrition
(14,500)
(2,600)
(17,100)
17.9%
Total Appropriation
1,923,200
0
1,923,200
0.0%
Revenues
Tourist Devel Tax
1,489,000
0
1,489,000
0.0%
Charges For Services
0
0
0
N/A
Miscellaneous Revenues
57,500
0
57,500
0.0%
Interest/Misc
0
0
0
N/A
Trans fin 001 Gen Fund
200,000
0
200,000
0.0%
Trans fin 193 TDC Museum F
0
0
0
N/A
Carry Forward
254,000
0
254,000
0.0%
Less 5% Required By Law
(77,300)
0
(77,300)
0.0%
Total Revenues
1,923,200
0
1,923,200
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount.
9/10/20133:46 PM
AGENDALJEM
No - ---- -- - fJ
SEP 19 2013
Pg z,?
BUDGET RESOLUTION ,--�
CHANGES TO THE FY 2014 TENTATIVE BUDGET
COUNTYWIDE CAPITAL PROJECTS FUND (301)
Revenues
Misc Revenues
FY 14
0
FY 14 Amended
%
Interest/Misc
Tentative
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budget
Change
Operating Expenses
611,400
0
611,400
0.0%
Capital Outlay
5,748,600
1,185,000
6,933,600
20.6%
Advance to 350 EMS IF Fd
167,500
0
167,500
0.0%
Advance to 350 Library IF Fd
552,300
0
552,300
0.0%
Advance to 381 Correct IF Fd
1,102,600
0
1,102,600
0.0%
Advance to 385 Law Enforce IF 1
55,500
0
55,500
0.0%
Advance to 390 Gov't Fac IF Fd
2,464,400
0
2,464,400
0.0%
Transf to 506 IT Capital
0
0
0
N/A
Reserves for Contingencies
800,000
0
800,000
0.0%
Total Appropriation
11,502,300
1,185,000
12,687,300
10.3%
Revenues
Misc Revenues
0
0
0
N/A
Interest/Misc
25,000
0
25,000
0.0%
Transf from 001 Gen Fd
10,758,700
425,000
11,183,700
4.0%
Transf from 146 Ochopee Fire
0
0
0
N/A
Carryforward
719,700
760,000
1,479,700
105.6%
Less 5% Required by Law
(1,100)
0
(1,100)
0.0%
Total Revenues
11,502,300
1,185,000
12,687,300
10.3%
Forecast
Tentative Budget
FY13 Changes
FYI Changes
Increase (Decrease)
Increase (Decrease)
Changes in Project Expenditure Budgets
Sheriff Special Ops - 2nd Floor
Prc j 52002
0
425,000
Sheriff Record's Management
Proj 53011
0
760,000
Total Project Changes
0
1,185,000
Changes in Revenue Budd
Transfer from 001 General Fd
Proj 99301
0
425,000
using Sheriff TurnBack Rev
Settlement Proceeds
Proj 53011
760,000
0
Total Revenue changes
760,000
425,000
Total Carry forward FY14 (decrease) increase
Total Increase (Decreases) in FY 14
9/10/20133:46 PM
760,000
1,610,000
AGENDA1TEN9
SEP!v201'
Pg ,;O
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
GAS TAX - ENGINEERING OPERATIONS (312)
Revenues
Miscellaneous Revenues
Tentative
0
FY 14 Amended
%
Interest/Misc
FY 14
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
2,265,100
33,600
2,298,700
1.5%
Operating Expense
216,600
0
216,600
0.0%
Indirect Cost Reimburse
155,800
0
155,800
0.0%
Capital Outlay
71,000
0
71,000
0.0%
Reserves For Contingencies
2,000
0
2,000
0.0%
Reserve for Attrition
(38,600)
(800)
(39,400)
2.1%
Total Appropriation
2,671,900
32,800
2,704,700
1.2%
Revenues
Miscellaneous Revenues
0
0
0
N/A
Interest/Misc
2,000
0
2,000
0.0%
Trans fin 313 Gas Tax Cap
2,623,000
32,800
2,655,800
1.3%
Carry Forward
47,000
0
47,000
0.0%
Less 5% Required By Law
(100)
0
(100)
0.0%
Total Revenues
2,671,900
32,800
2,704,700
1.2%
Provides appropriation to fund Board approved compensation adjustment. The transfer from Gas Tax Capital
Fund (313) and reserves were adjusted by the same amount.
9/10/20133:47 PM
AGENDA ITEM
No. —.�/,�
SEP 1 9) 2013
P9, 31
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
GAS TAX - ROAD CONSTRUCTION (313)
The Transfer to Gas Tax Operating Fund (312) was adjusted to accommodate pay adjustment in Fund (312).
Reserves were adjusted by the same amount.
9/10/20133:47 PM
AGENDA i i ENI
No. ®4
SEP `± 9 2oi,3,
Pg 3�
rN
7—IN,
Tentative
FY 14 Amended
%
FY 14
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Bu et
Change
Operating Expense
3,231,000
0
3,231,000
0.0%
Capital Outlay
11,060,700
0
11,060,700
0.0%
Remittances
1,000,000
0
1,000,000
0.0%
Trans to 212 Debt Sery Fd
14,117,600
0
14,117,600
0.0%
Trans to 312 Gas Tax Op F
2,623,000
32,800
2,655,800
1.3%
Trans to 426 CAT Mass Tra
2,000,000
0
2,000,000
0.0%
Reserves For Contingencies
1,197,300
(32,800)
1,164,500
-2.7%
Total Appropriation
35,229,600
0
35,229,600
0.0%
Revenues
Local Gas Taxes
13,173,800
0
13,173,800
0.0%
Intergovernmental Revenue
4,700,000
0
4,700,000
0.0%
Gas Taxes
5,626,200
0
5,626,200
0.0%
Miscellaneous Revenues
616,200
0
616,200
0.0%
Interest/Misc
150,000
0
150,000
0.0%
Trans fin 001 Gen Fund
8,768,800
0
8,768,800
0.0%
Carry Forward
3,407,900
0
3,407,900
0.0%
Less 5% Required By Law
(1,213,300)
0
(1,213,300)
0.0%
Total Revenues
35,229,600
0
35,229,600
0.0%
The Transfer to Gas Tax Operating Fund (312) was adjusted to accommodate pay adjustment in Fund (312).
Reserves were adjusted by the same amount.
9/10/20133:47 PM
AGENDA i i ENI
No. ®4
SEP `± 9 2oi,3,
Pg 3�
rN
7—IN,
-,-,
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
STORMWATER OPERATING (324)
Revenues
Interest/Misc
Tentative
0
FY 14 Amended
%
1,176,500
FY 14
Changes
Tentative
Budget
Appropriation Unit
Bu et
Increase (Decrease)
Bu et
Chance
Personal Services
1,097,000
(34,000)
1,063,000
-3.1%
Operating Expense
69,700
0
69,700
0.0%
Indirect Cost Reimbursement
53,900
0
53,900
0.0%
Capital Outlay
32,000
0
32,000
0.0%
Reserves For Contingencies
1,700
0
1,700
0.0%
Reserve for Attrition
(19,200)
1,000
(18,200)
-5.2%
Total Appropriation
1,235,100
(33,000)
1,202,100
-2.7%
Revenues
Interest/Misc
500
0
500 0.0%
Trans fm 325 Stormwater C
1,176,500
(33,000)
1,143,500 -2.8%
Carry Forward
58,100
0
58,100 0.0%
Total Revenues
1,235,100
(33,000)
1,202,100 -2.7%
Provides appropriation to fund Board approved compensation adjustment as well as Personal Service reduction
for position that has been reassigned to Road & Bridge Fund (101). The transfer in from Stormwater Capital
Fund (325) was adjusted downward by the same amount.
9/10/20133:47 PM
AGENDA ITEM
SEP 19 201
P9 33
BUDGET RESOLUTION 101"A
CHANGES TO THE FY 2014 TENTATIVE BUDGET
STORMWATER CAPITAL (325)
Transfer to (324) Stormwater Operations is reduced reflecting the reassignment of a Stormwater Operations
position, formerly budgeted in Stormwater Engineering Fund (324), to Road & Bridge Fund (101).
9/10/20133:48 PM
AGENDAJ;I- EM
No. ��-
SEP 2111':
pg
Tentative
FY 14 Amended
%
FY 14
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budge
Change
Operating Expense
850,000
0
850,000
0.0%
Capital Outlay
4,292,900
0
4,292,900
0.0%
Trans to 324 Stormwater Op
1,176,500
(33,000)
1,143,500
-2.8%
Reserves For Contingencies
0
33,000
33,000
N/A
Total Appropriation
6,319,400
0
6,319,400
0.0%
Revenues
Interest/Misc
35,000
0
35,000
0.0%
Trans fin 001 Gen Fund
4,730,100
0
4,730,100
0.0%
Trans fin 111 Unincorp Gen Fund
1,300,000
0
1,300,000
0.0%
Carry Forward
256,100
0
256,100
0.0%
Less 5% Required By Law
(1,800)
0
(1,800)
0.0%
Total Revenues
6,319,400
0
6,319,400
0.0%
Transfer to (324) Stormwater Operations is reduced reflecting the reassignment of a Stormwater Operations
position, formerly budgeted in Stormwater Engineering Fund (324), to Road & Bridge Fund (101).
9/10/20133:48 PM
AGENDAJ;I- EM
No. ��-
SEP 2111':
pg
r-� BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
COUNTY WATER/SEWER DISTRICT OPERATIONS (408)
Provides appropriation to fund Board approved compensation adjustment. Reserves were reduced by the
same amount.
9/10/20133:48 PM
AGENDA ITEM
No. L. --Z&
SEP 19 2013
pg 3 5�
Tentative
FY 14 Amended
%
FY 14
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
25,268,900
628,400
25,897,300
2.5%
Operating Expenses
31,268,300
0
31,268,300
0.0%
Indirect Cost Reimburse
2,430,400
0
2,430,400
0.0%
Payment in Lieu of Taxes
5,121,300
0
5,121,300
0.0%
Capital Outlay
1,385,300
0
1,385,300
0.0%
Trans to 001 General Fund
0
0
0
N/A
Trans to 410 W/S Debt Sery Fd
9,323,000
0
9,323,000
0.0%
Trans to 412 W User Fee Cap Fd
12,660,200
0
12,660,200
0.0%
Trans to 414 S User Fee Cap Fd
23,296,400
0
23,296,400
0.0%
Trans to 470 Solid Waste Fd
43,400
0
43,400
0.0%
Reserves for Contingencies
3,223,700
(614,800)
2,608,900
-19.1%
Reserves for Cash Flow
13,085,300
0
13,085,300
0.0%
Reserves for Attrition
(402,500)
(13,600)
(416,100)
3.4%
Total Appropriation
126,703,700
0
126,703,700
0.0%
Revenues
Charges for Services
1,361,100
0
1,361,100
0.0%
Water Revenue
45,422,000
0
45,422,000
0.0%
Sewer Revenue
52,940,000
0
52,940,000
0.0%
Effluent Revenue
3,000,000
0
3,000,000
0.0%
Fines & Forfeitures
5,000
0
5,000
0.0%
Miscellaneous Revenues
490,100
0
490,100
0.0%
Interest/Misc
275,900
0
275,900
0.0%
Reimb from Other Depts
0
0
0
N/A
Trans fm 109 Peli Bay MSTBU
15,900
0
15,900
0.0%
Net Cost Co Water /Sewer Op
0
0
0
N/A
Trans fm 114 Pollute Ctrl Fd
0
0
0
N/A
Trans fm 409 W/S Assessmt Fd
26,200
0
26,200
0.0%
Trans fin 416/417 W/S Grants
700
0
700
0.0%
Trans fm 441 Goodland Water
0
0
0
N/A
Trans fm 470 Solid Waste Fd
271,200
0
271,200
0.0%
Trans fm 473 Mand Collct Fd
1,342,900
0
1,342,900
0.0%
Carry Forward
26,727,400
0
26,727,400
0.0%
Less 5% Required by Law
(5,174,700)
0
(5,174,700)
0.0%
Total Revenues
126,703,700
0
126,703,700
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were reduced by the
same amount.
9/10/20133:48 PM
AGENDA ITEM
No. L. --Z&
SEP 19 2013
pg 3 5�
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
COLLIER AREA TRANSIT (CAT) ENHANCEMENT FUND (426)
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount.
9/10/20133:49 PM
�o AGENDA � EN9 .
SEP 19 2013
Pg 34
FY 14
FY 14 Amended
%
Tentative
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
167,200
3,700
170,900
2.2%
Operating Expenses
2,654,700
0
2,654,700
0.0%
Capital Outlay
0
0
0
N/A
Trans to 426 CAT Mass Transit Fd
0
0
0
N/A
Trans to 427 Transp Disadv Fd
0
0
0
N/A
Reserve for Contingencies
57,300
(3,700)
53,600
-6.5%
Total Appropriation
2,879,200
0
2,879,200
0.0%
Revenues
Intergovernmental Revenues
0
0
0
N/A
Charges for Services
1,227,200
0
1,227,200
0.0%
Miscellaneous Revenues
0
0
0
N/A
Interest/Misc
0
0
0
N/A
Trans fin 313 Gas Tax Cap Fd
1,557,300
0
1,557,300
0.0%
Trans fin 427 Transp Disadv
83,600
0
83,600
0.0%
Carryforward
72,500
0
72,500
0.0%
Less 5% Required by Law
(61,400)
0
(61,400)
0.0%
Total Revenues
2,879,200
0
2,879,200
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount.
9/10/20133:49 PM
�o AGENDA � EN9 .
SEP 19 2013
Pg 34
r�
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
TRANSPORTATION DISADVANTAGED FUND (427)
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount.
9/10/20133:49 PM
AGENDA ITEM
No.0.f3
SEP 19 2011
P
FY 14
FY 14 Amended
%
Tentative
Changes
Tentative
Budget
Appropriation Unit
Budeef
Increase (Decrease)
Budget
Chanee
Personal Services
120,400
1,700
122,100
1.4%
Operating Expenses
2,211,300
0
2,211,300
0.0%
Capital Outlay
0
0
0
N/A
Trans to 426 CAT Mass Transit Fd
83,600
0
83,600
0.0%
Trans to 427 Transp Disadv Fd
0
0
0
N/A
Reserve for Contingencies
96,500
(1,700)
94,800
-1.8%
Total Appropriation
2,511,800
0
2,511,800
0.0%
Revenues
Intergovernmental Revenues
0
0
0
N/A
Charges for Services
217,500
0
217,500
0.0%
Miscellaneous Revenues
0
0
0
N/A
Interest/Misc
0
0
0
N/A
Trans fin 001 General Fd
2,294,300
0
2,294,300
0.0%
Trans fin 426 CAT Transit Enhance
0
0
0
N/A
Carryforward
0
0
0
N/A
Less 5% Required by Law
0
0
0
N/A
Total Revenues
2,511,800
0
2,511,800
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were adjusted by the same
amount.
9/10/20133:49 PM
AGENDA ITEM
No.0.f3
SEP 19 2011
P
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
SOLID WASTE DISPOSAL (470)
Revenues
Intergovernmental Revenues
Tentative
0
FY 14 Amended
%
Charges for Services
FY 14
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
2,197,000
77,000
2,274,000
3.5%
Operating Expenses
11,554,300
0
11,554,300
0.0%
Indirect Cost Reimburse
285,700
0
285,700
0.0%
Payment in Lieu of Taxes
210,600
0
210,600
0.0%
Capital Outlay
200,100
0
200,100
0.0%
Trans to 001 General Fund
0
0
0
N/A
Trans to 408 Water /Sewer FD
271,200
0
271,200
0.0%
Trans to 474 Solid Waste Cap Fd
1,832,700
0
1,832,700
0.0%
Reserves for Contingencies
715,600
(75,200)
640,400
-10.5%
Reserves for Cash Flow
1,440,400
0
1,440,400
0.0%
Reserves for Attrition
(34,600)
(1,800)
(36,400)
5.2%
Total Appropriation
18,673,000
0
18,673,000
0.0%
Revenues
Intergovernmental Revenues
85,000
0
85,000
0.0%
Charges for Services
9,813,300
0
9,813,300
0.0%
Miscellaneous Revenues
98,400
0
98,400
0.0%
Interest/Misc
17,300
0
17,300
0.0%
Reimb from Other Depts
5,143,700
0
5,143,700
0.0%
Trans fin 408 Water /Sewer Fd
43,400
0
43,400
0.0%
Trans fin 473 Mand Collct Fd
285,700
0
285,700
0.0%
Carry Forward
3,944,000
0
3,944,000
0.0%
Less 5% Required by Law
(757,800)
0
(757,800)
0.0%
Total Revenues
18,673,000
0
18,673,000
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were reduced by the
same amount.
9/10/20133:49 PM
AGENDA ITEM
No.
SEP 19 2013
Pg 3 g
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
EMERGENCY MEDICAL SERVICES FUND (490)
Provides appropriation to fund Board approved compensation adjustment.
The transfer from the General Fund (00 1) was increased by the net amount of the above
appropriation adjustments.
9/10/20133:50 PM
AGENDAJTEM
No.. �— �-
SE° 1c�9 2T3
Pg —"�--
FY 14
FY 14 Amended
%
Tentative
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
18,822,200
302,400
19,124,600
1.6%
Operating Expenses
3,896,400
0
3,896,400
0.0%
Capital Outlay
227,500
0
227,500
0.0%
Trans to 144 Isle of Capri Fire
3,000
0
3,000
0.0%
Trans to 491 EMS Grant Fd
80,000
0
80,000
0.0%
Reserves for Capital
43,700
0
43,700
0.0%
Reserves for Attrition
(325,800)
(2,800)
(328,600)
0.9%
Total Appropriation
22,747,000
299,600
23,046,600
1.3%
Revenues
Ambulance Fees
9,895,000
0
9,895,000
0.0%
InteresvMisc.
12,700
0
12,700
0.0%
Transfer from 001 Gen Fund
11,335,100
299,600
11,634,700
2.6%
Carryforward
1,999,000
0
1,999,000
0.0%
Less 5% Required by Law
(494,800)
0
(494,800)
0.0%
Total Revenues
22,747,000
299,600
23,046,600
1.3%
Provides appropriation to fund Board approved compensation adjustment.
The transfer from the General Fund (00 1) was increased by the net amount of the above
appropriation adjustments.
9/10/20133:50 PM
AGENDAJTEM
No.. �— �-
SE° 1c�9 2T3
Pg —"�--
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
COLLIER COUNTY AIRPORT AUTHORITY (495)
Revenues
Charges for Services
Tentative
0
FY 14 Amended
%
Aviation Fuel Sales
FY 14
Changes
Tentative
Budget
ApprolLnation Unit
Bu et
Increase (Decrease)
Budget
Change
Personal Services
1,011,900
23,800
1,035,700
2.4%
Operating Expenses
653,100
0
653,100
0.0%
Indirect Cost Reimburse
180,200
0
180,200
0.0%
Aviation Fuel
1,761,100
0
1,761,100
0.0%
Capital Outlay
0
0
0
N/A
Reserve for Attrition
(15,800)
(700)
(16,500)
4.4%
Total Appropriation
3,590,500
23,100
3,613,600
0.6%
Revenues
Charges for Services
702,900
0
702,900
0.0%
Aviation Fuel Sales
2,631,600
0
2,631,600
0.0%
Miscellaneous Revenues
10,000
0
10,000
0.0%
Interest/Misc
600
0
600
0.0%
Advance/Repay fin 001 Gen Fd
267,900
0
267,900
0.0%
Trans fin 001 Gen Fd
0
23,100
23,100
N/A
Trans fin 496 Airport Grants
0
0
0
N/A
Carry Forward
144,700
0
144,700
0.0%
Less 5% Required By Law
(167,200)
0
(167,200)
0.0%
Total Revenues
3,590,500
23,100
3,613,600
0.6%
Provides appropriation to fund Board approved compensation adjustment.
The transfer from General Fund (001)
was increased by the same amount.
9/10/20133:50 PM
AGENDA ITEM
SEP 15' 29-11
P �D
9 t
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
INFORMATION TECHNOLOGY FUND (505)
Revenues
Miscellaneous Revenues
FY 14
Interest/Misc.
FY 14 Amended
%
4,926,100
Tentative
Changes
Tentative
Budget
Appropriation Unit
Bud et
Increase (Decrease)
Budget
Change
Personal Services
3,392,200
100,600
3,492,800
3.0%
Operating Expense
1,866,800
0
1,866,800
0.0%
Capital Outlay
7,500
0
7,500
0.0%
Trans to 506 IT Cap
757,300
0
757,300
0.0%
Reserves for Contingencies
124,200
(98,700)
25,500
-79.5%
Reserves for Attrition
(57,100)
(1,900)
(59,000)
3.3%
Total Appropriation
6,090,900
0
6,090,900
0.0%
Revenues
Miscellaneous Revenues
25,300
Interest/Misc.
6,700
Reimb. Other Depts.
4,926,100
Carryforward
1,325,400
Less 5% Required by Law
(192,600)
Total Revenues
6,090,900
0
0
0
0
0
0
25,300
6,700
4,926,100
1,325,400
(192,600)
6,090,900
Provides appropriation to fund Board approved compensation adjustment. Reserves were
reduced by same amount.
9/10/20133:50 PM
0.0%
0.0%
0.0%
0.0%
0.0%
U. U%
AGENDA ITEM
No. - --°�
SEP ? Z 3?
Pg Yf
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
PROPERTY & CASUALTY INSURANCE FUND (516)
Revenues
Miscellaneous Revenues
Interest/Misc.
Property & Casualty Billings
Carryforward
Less 5% Required by Law
Total Revenues
400,000
FY 14
400,000
FY 14 Amended
%
34,300
Tentative
Changes
Tentative
Budget
Annropriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
361,600
7,200
368,800
2.0%
Operating Expenses
6,231,700
0
6,231,700
0.0%
Property & Casualty Claims
1,000,000
0
1,000,000
0.0%
Reserves for Contingencies
265,900
(7,200)
258,700
-2.7%
Reserves for Insurance
6,732,200
0
6,732,200
0.0%
Total Appropriation
14,591,400
0
14,591,400
0.0%
Revenues
Miscellaneous Revenues
Interest/Misc.
Property & Casualty Billings
Carryforward
Less 5% Required by Law
Total Revenues
400,000
0
400,000
34,300
0
34,300
7,325,500
0
7,325,500
6,853,400
0
6,853,400
(21,800)
0
(21,800)
14,591,400
0
14,591,400
Provides appropriation to fund Board approved compensation adjustment. Reserves were
reduced by same amount.
9/10/20133:50 PM
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
AGENDA,,ITEM
No. 2 C7 -
SEA' 19 2013
Pg
r
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
GROUP HEALTH & LIFE INSURANCE FUND (517)
Revenues
Miscellaneous Revenues
FY 14
0
FY 14 Amended
%
Interest/Misc.
Tentative
Changes
Tentative
Budget
AApnropriation Unit
Budget
Increase (Decrease)
Bud-get
Change
Personal Services
503,000
9,900
512,900
2.0%
Operating Expenses
35,035,600
0
35,035,600
0.0%
Short Term Disability Ins
351,300
0
351,300
0.0%
Long Term Disability his
345,000
0
345,000
0.0%
Capital Outlay
7,100
0
7,100
0.0%
Reserves for Contingencies
904,400
(9,900)
894,500
-1.1%
Reserves for Insurance
10,507,300
0
10,507,300
0.0%
Total Appropriation
47,653,700
0
47,653,700
0.0%
Revenues
Miscellaneous Revenues
600,000
0
600,000
0.0%
Interest/Misc.
62,500
0
62,500
0.0%
Group Health Billings
31,450,000
0
31,450,000
0.0%
Dental Billings
1,700,000
0
1,700,000
0.0%
Life Insurance Billings
600,000
0
600,000
0.0%
Short Term Disability Billings
400,000
0
400,000
0.0%
Long Term Disability Billings
345,000
0
345,000
0.0%
Carryforward
12,499,400
0
12,499,400
0.0%
Less 5% Required by Law
(3,200)
0
(3,200)
0.0%
Total Revenues
47,653,700
0
47,653,700
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were
reduced by same amount.
9/10/20133:51 PM
AGENDA ITEM
No
��E33
SEP 19 2-013
Pg :��
BUDGET RESOLUTION rte.
CHANGES TO THE FY 2014 TENTATIVE BUDGET
WORKERS COMPENSATION INSURANCE FUND (518)
Revenues
Interest/Misc.
FY 14
0
FY 14 Amended
%
Workers Comp Billings
Tentative
Changes
Tentative
Budget
AAoropriation Unit
Budget
Increase (Decrease)
Budget
Chance
Personal Services
263,000
5,600
268,600
2.1%
Operating Expenses
599,700
0
599,700
0.0%
Workers Comp Insurance
675,000
0
675,000
0.0%
Transfer to (00 1) General Fund
900,000
900,000
0.0%
Reserves for Contingencies
38,000
(5,600)
32,400
-14.7%
Reserves for Insurance
2,992,600
0
2,992,600
0.0%
Total Appropriation
5,468,300
0
5,468,300
0.0%
Revenues
Interest/Misc.
20,000
0
20,000
0.0%
Workers Comp Billings
1,454,800
0
1,454,800
0.0%
Carryforward
3,994,500
0
3,994,500
0.0%
Less 5% Required by Law
(1;000)
0
(1,000)
0.0%
Total Revenues
5,468,300
0
5,468,300
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were
reduced by same amount.
AGENDA ITEM
;No. 46 —
SEP ; 9 201','
ZILL
p9
9/10/20133:51 PM
FAR
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
FLEET MANAGEMENT FUND (521)
Revenues
Charges for Services
FY 14
0
FY 14 Amended
%
Miscellaneous Rev.
Tentative
Changes
Tentative
Budget
Appropriation Unit
Budge f
Increase (Decrease)
Budget
Chanize
Personal Services
2,139,300
43,700
2,183,000
2.0%
Operating Expenses
7,776,800
0
7,776,800
0.0%
Capital Outlay
173,000
0
173,000
0.0%
Transfer to General Fund
0
150,000
150,000
N/A
Reserves for Contingencies
193,500
(43,400)
150,100
-22.4%
Reserve for Attrition
(35,000)
(300)
(35,300)
0.9%
Total Appropriation
10,247,600
150,000
10,397,600
1.5%
Revenues
Charges for Services
566,000
0
566,000
0.0%
Miscellaneous Rev.
6,000
0
6,000
0.0%
Fleet Revenue Billings
4,702,800
0
4,702,800
0.0%
Fuel Sale Billings
4,818,100
0
4,818,100
0.0%
Transfer from General Fund
0
150,000
150,000
N/A
Carryforward
183,300
0
183,300
0.0%
Less 5% Required by Law
(28,600)
0
(28,600)
0.0%
Total Revenues
10,247,600
150,000
10,397,600
1.5%
Provides appropriation to fund Board approved compensation adjustment. Reserves were
reduced by same amount.
Transfer from the General Fund was established to ensure sufficient cash flow until such time
as Fleet Management can establish appropriate reserve levels. A like transfer back to the
General Fund was established to facilitate reimbursement to the General Fund as it is
available.
9/10/20133:51 PM
AGEND,p ITEM
Pg
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
UTILITY FEE TRUST FUND (669)
Revenues
Franchise Fees
FY 14
230,000
FY 14 Amended
%
130,000
Tentative
Changes
Tentative
Budget
Appropriation Unit
Bud et
Increase (Decrease)
Budget
Chance
Personal Services
308,400
6,000
314,400
1.9%
Operating Expenses
75,400
0
75,400
0.0%
Indirect Cost Reimburse
16,400
0
16,400
0.0%
Reserve for Contingencies
14,300
(6,000)
8,300
-42.0%
Reserve for Capital
881,300
0
881,300
0.0%
Reserve for Cashflow
79,900
0
79,900
0.0%
Total Appropriation
1,375,700
0
1,375,700
0.0%
Revenues
Franchise Fees
230,000
230,000
0.0%
Reimb From Other Depts
130,000
0 130,000
0.0%
Trans fin 113 Com Dev Fd
100,000
100,000
0.0%
Carryforward
927,200
0 927,200
0.0%
Less 5 %Required by Law
(11,500)
0 (11,500)
0.0%
Total Revenues
1,375,700
0 1,375,700
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were
reduced by same amount.
9/10/20133:51 PM
AGENDA-ITEM -�
Flo. ---k6
Pg yG
n
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
COURT ADMINISTRATION FUND (68 1)
Revenues
Charges for Services
Fines & Forfeitures
Interest/Misc. Rev.
Transfer from General Fund
Carryforward
Less 5% Required by Law
Total Revenues
145,000
FY 14
145,000
FY 14 Amended
%
0
Tentative
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budget
Chanee
Personal Services
1,954,100
48,900
2,003,000
2.5%
Operating Expenses
236,200
0
236,200
0.0%
Capital Outlay
5,000
0
5,000
0.0%
Transfer to Teen Court 171
15,200
1,800
17,000
11.8%
Transfer to Court Innov. 192
115,600
0
115,600
0.0%
Reserves for Contingencies
0
0
0
N/A
Reserve for Attrition
(23,100)
(9,100)
(32,200)
39.4%
Total Appropriation
2,303,000
41,600
2,344,600
1.8%
Revenues
Charges for Services
Fines & Forfeitures
Interest/Misc. Rev.
Transfer from General Fund
Carryforward
Less 5% Required by Law
Total Revenues
145,000
0
145,000
0.0%
944,000
0
944,000
0.0%
1,900
0
1,900
0.0%
1,199,600
41,600
1,241,200
3.5%
67,000
0
67,000
0.0%
(54,500)
0
(54,500)
0.0%
2,303,000
41,600
2,344,600
1.8%
Provides appropriation to fund Board approved compensation adjustment. Transfer to Teen
Court Fund 171 was increased to cover the compensation adjustment within that fund.
Reserves for attrition were increased to the appropriate level.
The transfer from the General Fund (001) was increased by the net amount of the above
appropriation adjustments.
9/10/20133:52 PM
AGENDA ITEM
Flo.
SEP 19 2013
Pg
BUDGET RESOLUTION
CHANGES TO THE FY 2014 TENTATIVE BUDGET
PELICAN BAY STREET LIGHTING DISTRICT (778)
Revenues
Ad Valorem Taxes
Tentative
0
FY 14 Amended
%
Delinquent Ad Valorem Taxes
FY 14
Changes
Tentative
Budget
AA ronriation Unit
Bu et
Increase (Decrease)
Bu et
Change
Personal Services
111,000
2,600
113,600
2.3%
Operating Expenses
130,300
0
130,300
0.0%
Indirect Cost Reimburse
5,600
0
5,600
0.0%
Capital Outlay
1,000
0
1,000
0.0%
Trans to Property Appraiser
8,900
0
8,900
0.0%
Trans to Tax Collector
13,500
0
13,500
0.0%
Reserve for Contingencies
12,300
0
12,300
0.0%
Reserve for Capital
754,900
(2,600)
752,300
-0.3%
Total Appropriation
1,037,500
0
1,037,500
0.0%
Revenues
Ad Valorem Taxes
445,500
0
445,500
0.0%
Delinquent Ad Valorem Taxes
0
0
0
N/A
Miscellaneous Revenues
0
0
0
N/A
Interest/Misc
8,900
0
8,900
0.0%
Trans fin Tax Collector
0
0
0
N/A
Carry Forward
605,800
0
605,800
0.0%
Less 5% Required By Law
(22,700)
0
(22,700)
0.0%
Total Revenues
1,037,500
0
1,037,500
0.0%
Provides appropriation to fund Board approved compensation adjustment. Reserves were reduced by the
same amount.
9/10/20133:52 PM
AGENDAATEM
No.
i 9 20-111
Pg y $
n
r
RESOLUTION NO. 2013-
A RESOLUTION AMENDING THE TENTATIVE BUDGETS
FOR FY 2013 -14
WHEREAS, Section 200.065, Florida Statutes, provides the procedure for fixing the
millage rates; and
WHEREAS, Section 129.03, Florida Statutes, sets forth the procedure for preparation
and adoption of the budget; and
WHEREAS, the Board of County Commissioners has received and examined the
tentative budgets for each of the County's funds; and
WHEREAS, the Board of County Commissioners has prepared a statement
summarizing all of the adopted tentative budgets which includes for each budget, the name of
each taxing authority levying millage, the rolled -back rate, the percentage increase, the millage
rate to be levied, the balances, the reserves and the total of each major classification of receipts
and expenditures; and
WHEREAS, on July 9, 2013, the Board of County Commissioners adopted Resolution
2013 -161 approving the County's proposed millage rates and setting the public hearings for
adoption of the final millage rates; and
WHEREAS, pursuant to Section 200.065, Florida Statutes, an advertised public hearing
was held on September 9, 2013, at 5:05 p.m. and Resolution No. 2013 -163 was adopted by the
Board of County Commissioners adopting the tentative millage rates and a Resolution 2013 -164
was adopted by the Board of County Commissioners adopting the tentative budgets for FY
2013 -14; and
WHEREAS, a second advertised public hearing was held on September 19, 2013, at
5:05 p.m. to finalize the FY 2013 -14 Budget and to adopt the millage rates in accordance with
Sections 129.03 and 200.065, Florida Statutes.
NOW, THEREFORE, BE IT RESOLVED BY THE BOARD OF COUNTY
COMMISSIONERS OF COLLIER COUNTY, FLORIDA, that:
The amendments as set forth in Exhibit "A ", attached hereto and incorporated herein,
are hereby adopted and amend the adopted Tentative Budgets for FY 2013 -14 pursuant to
Sections 129.03 and 200.065, Florida Statutes.
AGENDA ITEM
No. IQ n
SEP 19 2013
pg /
This resolution adopted this 19th day of September, 2013, after motion, second and
majority vote.
ATTEST:
DWIGHT E. BROCK, Clerk
By:
Deputy Clerk
Approved as
Jeffrey A. KlatzkowZenty Attorney
BOARD OF COUNTY COMMISSIONERS
COLLIER COUNTY, FLORIDA
Bv: —
Georgia A. Hiller, Esq.,
Chairwoman
AGENDA ITEM
No. 7740
SEP 1 9 2013
Pg Z
RESOLUTION NO. 2013 -
.-� A RESOLUTION ADOPTING THE MILLAGE RATES
TO BE LEVIED FOR FY 2013 -14
WHEREAS, Section 200.065, Florida Statutes, provides the procedure for fixing the
millage rates; and
WHEREAS, Section 129.03, Florida Statutes, sets forth the procedure for preparation
and adoption of the budget; and
WHEREAS, the Board of County Commissioners has received and examined the
tentative budgets for each of the County's funds; and
WHEREAS, the Board of County Commissioners has prepared a statement
summarizing all of the adopted tentative budgets which includes for each budget, the name of
each taxing authority levying millage, the rolled -back rate, the percentage increase, the millage
rate to be levied, the balances, the reserves and the total of each major classification of receipts
and expenditures; and
WHEREAS, on July 9, 2013, the Board of County Commissioners adopted Resolution
2013 -161 approving the County's proposed millage rates and setting the public hearings for
adoption of the final millage rates; and
WHEREAS, pursuant to Section 200.065, Florida Statutes, an advertised public hearing
was held on September 5, 2013, at 5:05 P.M. and Resolution No. 2013 -163 was adopted by the
Board of County Commissioners adopting the tentative millage rates and a Resolution 2013 -164
was adopted by the Board of County Commissioners adopting the tentative budgets for FY
2013 -14; and
WHEREAS, PURSUANT TO Section 200.065, Florida Statutes, a second advertised
public hearing was held on September 19, 2013, at 5:05 p.m. to finalize the FY 2013 -14 Budget
and to adopt the millage rates in accordance with Sections 129.03 and 200.065, Florida
Statutes.
NOW, THEREFORE, BE IT RESOLVED BY THE BOARD OF COUNTY
COMMISSIONERS OF COLLIER COUNTY, FLORIDA, that:
AGENDA ITEM
too. ::—k4g�--
SEP
Pg�
The millage rates as set forth in Exhibit "A ", attached hereto and incorporated herein, are
hereby adopted as millage rates for FY 2013 -14 pursuant to Sections 129.03 and 200.065,
Florida Statutes.
This resolution adopted this 19th day of September 2013, after motion, second and
majority vote.
ATTEST:
DWIGHT E. BROCK, Clerk
By:
Deputy Clerk
Approved as
Jeffrey A.
Attorney
BOARD OF COUNTY COMMISSIONERS
COLLIER COUNTY, FLORIDA
By:
Georgia A. Hiller, Esq.
Chairwoman
AGENDA_JEM
No. _ OV,
SEP
Lpgl-.
Exhibit A
Collier County, Florida
Property Tax Rates
FY 2014 Proposed
Prior Year
Rolled Back
Proposed
Millage
Millage
Millage
% Change Frm.
Fund Title
Fund No.
Rate
Rate
Rate
Rolled Back
General Fund
001
3.5645
3.4785
3.5645
2.47%
Water Pollution Control
114
0.0293
0.0286
0.0293
2.45%
3.5938
3.5071
3.5938
2.47%
Unincorporated Area General Fund
111
0.7161
0.7024
0.7161
1.95%
Golden Gate Community Center
130
0.1990
0.1939
0.1909
- 1.55%
Victoria Park Drainage
134
0.0479
0.0458
0.0479
4.59%
Naples Park Drainage
139
0.0090
0.0085
0.0085
0.00%
Vanderbilt Beach MSTU
143
0.5000
0.4897
0.5000
2.10%
Isle of Capri Fire
144
2.0000
1.9830
2.0000
0.86%
Ochopee Fire Control
146
4.0000
4.0755
4.0000
- 1.85%
Collier County Fire
148
2.0000
1.8067
2.0000
10.70%
Goodland /Horn's Island Fire MSTU
149
1.2760
1.3342
1.2760
- 4.36%
Sabal Palm Road MSTU
151
0.1000
0.0416
0.1000
140.38%
Golden Gate Parkway Beautification
153
0.4753
0.4583
0.4583
0.00%
Lely Golf Estates Beautification
152
2.0000
1.9355
2.0000
3.33%
Hawksridge Stormwater Pumping MSTU
154
0.0500
0.0482
0.0482
0.00%
Radio Road Beautification
158
0.3210
0.3185
0.3185
0.00%
Forest Lakes Roadway & Drainage MSTU
159
1.1551
1.1527
1.1610
0.72%
Immokalee Beautification MSTU
162
0.9354
0.9162
0.9162
0.00%
Bayshore Avalon Beautification
163
2.3754
2.3604
2.3604
0.00%
Haldeman Creek Dredging
164
0.7735
0.7348
0.7348
0.00%
Rock Road
165
3.0000
2.9672
3.0000
1.11%
Radio Road East MSTU
166
0.2401
0.2306
0.2306
0.00%
Conservation Collier
172
0.1651
0.1610
0.0000
- 100.00%
Forest Lakes Debt Service
259
2.8449
2.8391
2.8390
0.00%
Radio Road East Debt Service
266
0.2319
0.2227
0.2193
- 1.53%
Conservation Collier Debt Service (2005)
272
0.0849
0.0828
0.0000
- 100.00%
Collier County Lighting
760
0.1631
0.1578
0.1631
3.36%
Pelican Bay MSTBU
778
0.0857
0.0849
0.0857
0.94%
Aggregate Millage Rate
1
4.3214
4.2222
4.1518
- 1.67%
AGENDA ITEM
No.
SEP 19 2013
Pg 3
Exhibit A
Collier County, Florida
Property Tax Dollars
FY 2014 Proposed
Prior Year
Current Year
Proposed
Fund
Adjusted Tax
Rolled Back
Tax
% Change
Fund Title
No.
Dollars
Tax Dollars
Dollars
Frm. Rolled Back
General Fund
001
206,110,252
211,224,461
216,446,627
2.47%
Water Pollution Control
114
1,713,838
1,736,674
1,779,180
2.45%
207,824,090
212,961,135
218,225,807
2.47%
Unincorporated Area General Fund
111
25,602,482
26,181,591
26,692,251
1.95%
Golden Gate Community Center
130
282,170
286,349
281,919
-1.55%
Victoria Park Drainage
134
1,236
1,235
1,292
4.62%
Naples Park Drainage
139
7,758
7,790
7,790
0.00%
Vanderbilt Beach MSTU
143
952,027
954,352
974,425
2.10%
Isle of Capri Fire
144
1,012,509
1,020,654
1,029,404
0.86%
Ochopee Fire Control
146
1,242,744
1,249,556
1,226,407
-1.85%
Collier County Fire
148
274,889
275,655
305,147
10.70%
Goodland /Horn's Island Fire MSTU
149
93,695
94,006
89,906
-4.36%
Sabal Palm Road MSTU
151
914
913
2,194
140.31%
Lely Golf Estates Beautification
152
185,395
185,829
192,021
3.33%
Golden Gate Parkway Beautification
153
245,375
246,067
246,067
0.00%
Hawksridge Stormwater Pumping MSTU
154
2,645
2,646
2,646
0.00%
Radio Road Beautification
158
306,850
308,219
308,219
0.00%
Forest Lakes Roadway & Drainage MSTU
159
149,835
149,903
150,983
0.72%
immokalee Beautification MSTU
162
274,148
277,402
277,402
0.00%
Bayshore Avalon Beautification
163
837,350
840,240
840,240
0.00%
Haldeman Creek Dredging
164
51,401
51,645
51,645
0.00%
Rock Road
165
30,070
30,278
30,613
1.11%
Radio Road East MSTU
166
81,520
83,199
83,199
0.00%
Conservation Collier
172
9,657,155
9,776,380
0
- 100.00%
Forest Lakes Debt Service
259
369,028
369,212
369,199
0.00%
Radio Road East Debt Service
266
78,736
80,349
79,122
-1.53%
Conservation Collier Debt Service (2005)
272
4,966,036
5,027,853
0
- 100.00%
Collier County Lighting
760
620,446
624,322
645,291
3.36%
Pelican Say MSTBU
778
440,396
441,293
445,451
0.94%
Total Taxes Levied
255,590,900
261,528,073
252,558,640
Aggregate Taxes
250,177,100
256,050,659
252,110,319
AGENDA EM
SEA' 19 79i
Pg �{
RESOLUTION NO. 2013 -
A RESOLUTION ADOPTING THE FY 2013 -14 FINAL BUDGET
WHEREAS, the Board of County Commissioners of Collier County, Florida, has held an
advertised public hearing on September 19, 2013 to finalize the FY 2013 -14 Budget and Adopt
the millage rates in accordance with Sections 129.03 and 200.065, Florida Statutes.
NOW, THEREFORE, BE IT RESOLVED BY THE BOARD OF COUNTY
COMMISSIONERS OF COLLIER COUNTY, FLORIDA, that the attached list of Budgets by
Fund is hereby adopted for FY 2013 -14.
This Resolution adopted this 19th day of September, 2013, after motion, second and
majority vote.
ATTEST:
DWIGHT E. BROCK, Clerk
By:
Deputy Clerk
Approved
Jeffrey A. Kl4tzl -raw,
ality:
Attorney
BOARD OF COUNTY COMMISSIONERS
COLLIER COUNTY, FLORIDA
By:
Georgia A. Hiller, Esq.
Chairwoman
AGEN A ITEM
No.
SEP 19 2011
pg., /
Collier County, Florida
Fiscal Year 2013/2014
Summary of Budget by Fund
18,741,100
Affordable Housing
FY 12/13
FY 13/14
%
Fund Title
Fund
Adopted
Tentative
Budget
(109)
No.
Budget
Budget
Change
38,866,300
General Fund
General Fund
(001)
309,925,100
319,920,400
3.23%
Utility Impact Fee Deferral Program
(002)
12,100
52,300
332.23%
Emergency Disaster
(003)
600,000
491,100
- 1,78%
Economic Development
(007)
469,200
782,700
66.82%
Constitutional Officer Funds:
(118)
0
13,800
13.19%
Clerk of Circuit Court
(011)
7,412,000
8,389,900
Sheriff
Property Appraiser
(040)
131,973,300
133,545,600
1.19%
Tax Collector
(060)
6,303,500
6,434,100
2.07%
Supervisor of Elections
(070)
16,977,700
17,430,100
2.66%
Supervisor of Elections Grants
(080)
(081)
3,233,600
3,141,600
- 2.85%
Subtotal Constitutional Officers
1,060,200
0
165,900,100
0
168,941,300
N/A
4,104,100
6,845,400
Victoria Park Drainage MSTU
(132)
(134)
Special Revenue Funds
757,300
Transportation „n,
(138)
Right of Way Permitting
� Iu l)
(102)
io, iar,ZUU
456,900
18,741,100
Affordable Housing
(105)
0
497,800
Impact Fee Administration
(107)
1,260,700
633,000
1,108,100
Pelican Bay MSTBU
(109)
3,414,000
3,367,800
Unincorporated Areas General Fund MSTU
(111)
38,866,300
39,435,100
Landscaping Projects
(112)
307,600
163,000
Community Development
(113)
12,961,000
14,974,700
Water Pollution Control
(114)
3,046,000
3,316,100
Sheriff Grants
Miscellaneous Grants
(115)
213,000
215,500
Natural Resources Grants
(116)
(117)
0
0
179,300
Emergency Management Grants
(118)
0
13,800
Parks & Recreation Food Service Grants
(119)
0
38,400
Community Development Block Grants
(121)
0
63,200
Services for Seniors
(123)
0
0
ARRA Grants
(125)
0
344,200
Metro Planning -MPO
(128)
5,000
32,800
38,300
Library Grants
(129)
0
583,900
Golden Gate Community Center
(130)
1,060,200
1,053,100
Planning Services
Pine Ridge Industrial Park Capital
(131)
4,104,100
6,845,400
Victoria Park Drainage MSTU
(132)
(134)
5,200
29,300
757,300
Naples Production Park Capital
(138)
3,600
28,700
Naples Park Drainage MSTU &BU
(139)
69,000
35,600
76,400
Pine Ridge Industrial Pk Maintenance MSTU &BU
(140)
200
Naples Production Park MSTU &BU
(141)
900
300
Pine Ridge Industrial Park MSTU &BU
(142)
1,812,700
54,500
1,822,500
Vanderbilt Beach Beautification MSTU
(143)
5,009,900
5,367,400
Isle of Capri Municipal Rescue & Fire Services
(144)
1,334,900
1,273,900
Ochopee Fire Control District MSTU
(146)
1,804,200
1,859,400
Collier County Fire Control MSTU
(148)
277,800
328,700
Goodland /Horr's Isle Fire Control District
(149)
93,200
93,500
Sabal Palm Road Extension MSTU &BU
(151)
154,000
98,300
Lely Golf Estates Beautification MSTU 1
(152) 1
507,200
346,500
15.78
8.95'
- 12.10%
- 1.35%
1.46%
-47.01%
15.54%
8.87%
1.17%
-0.67%
66.79%
14463.46%
- 2.05%
888.89%
10.72%
50.00%
0.54%
7.14%
- 4.57%
3.06%
18.32%
:iCf�6%
A ITEM
'- 31-:68'%
SEA'
0 2011
'
Fg
Z-
Collier County, Florida
Fiscal Year 2013/2014
Summary of Budget by Fund
FY 12/13 FY 13/14
Fund Adopted Tentative Budget
Fund Title No. Budget Budget Change
SEE 1 9) 215 1
9 Pq 3
Special Revenue Funds (Cont'd)
Golden Gate Beautification MSTU (
(153) 7
774,800 7
784,100 1
1.20%
Hawksridge Stormwater System MSTU (
(154) 7
71,000 7
73,300 3
3.24%
Radio Road Beautification MSTU (
(158) 5
592,000 7
732,100 2
23.67%
Forest Lakes Roadway & Drainage MSTU (
(159) 2
2,457,300 2
2,239,800 -
-8.85%
Immokalee Beautification MSTU (
(162) 7
755,700 4
441,200 -
- 41.62%
Bayshore Beautification MSTU (
(163) 4
4,038,200 2
2,845,400 -
- 29.54%
Haldeman Creek Dredging MSTU (
(164) 1
192,900 2
232,400 2
20.48%
Rock Road MSTU (
(165) 3
32,300 3
35,700 1
10.53%
Adoption Awareness (
(166) 1
180,800 1
132,100 -
- 26.94%
Teen Court (
(171) 8
0 0
0 N
N/A
Driver Education (
(172) 1
12,954,300 4
4,938,400 -
- 61.88%
Conservation Collier Maintenance (
(174) 3
31,571,300 3
282,200 3
3.75%
Juvenile Assessment Center (
(175) 0
0 0
4.54%
Court IT Fee (
(178) 9
935,700 1
0 N
N/A
Domestic Animal Services Donations (
(179) 9
940,500 9
95,500 _
_89.85%
Court Maintenance Fund (
(181) 3
3,505,400 4
100,200 2
28.96%
TDC Beach Park Facilities (
(183) 8
8,760,400 9
4,693,500 3
33.89%
Tourism Marketing (
(184) 4
4,698,600 7
7,382,900 5
3.07%
Immokalee Redevelopment CRA (
(185) 6
663,300 6
643,300 -
-3.02%
Bayshore /Gateway Triangle CRA (
(187) 2
2,169,700 1
612,100 -
- 16.62%
800 MHz Fund (
(188) 1
1,126,500 1
1,739,400 -
- 19.83%
Wireless E -911 (
(189) 0
0 0
Miscellaneous Florida Statutes (
(190) 3
36,400 6
0 N
N/A
SHIP (
(191) 0
0 0
65,000 7
78.57%
Public Guardianship (
(192) 1
197,900 1
0 N
N/A
Tourist Development (
(193) 3
324,900 6
635,000 9
95.44%
Tourist Development Beaches 7
(195) 3
32,359,400 2
1,712,500 a
a
Economic Disaster Recovery (
(196) 1
1,320,900 7
21,110,900 -
- 34.76%
Museum (
(198) 1
1,823,500 1
790,500 -
- 40.15%
Administrative Services Grants (
(199) 9
937,500 9
933,000 -
-0.48%
Administrative Services Grant Match (
(704) 0
0 2
200 N
N/A
Housing Grants (
(705) 0
0 0
200 N
N/A
Human Services Grants (
(707) 0
0 3
0 N
N/A
Human Services Grant Match N
(708) 0
376,800
N/A
Public Services Grants (
(709) 0
0 1
167,000 N
N/A
Public Services Grant Match (
(710) 0
0 0
0 N
N/A
Transportation Grants (
(711) 0
0 1
0 N
N/A
Transportation Grant Match (
(712) 1
10,036,300 8
11,100 N
N/A
Bureau of Emergency Services Grants 1
(713) 0
0 0
19.84
Bureau of Emergency Services Grant Match (
(714) 0
0 0
0 N
N/A
Immokalee CRA Grants (
(715) 0
0 0
0 N
N/A
Collier County Lighting N
(760) 6
612,800 6
0
N/A
Subtotal Special Revenue Funds 2
(778) 8
801,300 1
1,037,500 2
� 3
220,608,000 2
214,090,200
Collier County, Florida
Fiscal Year 2013/2014
Summary of Budget by Fund
FY 12/13
FY 13114
%
Fund
Adopted
Tentative
Budget
Fund Title
No.
Budget
Budget
Change
Debt Service Funds
Sales Tax Revenue Bonds, Series 2002
(210)
0
0
N/A
Gas Tax Revenue Refunding Bds, 2003,2005
(212)
14,321,500
14,157,900
-1.14%
State Infrastructure Bank (SIB) Loan
(213)
0
0
N/A
Sales Tax Revenue Refunding Bonds, 2003
(215)
415,400
4,100
- 99.01%
Sales Tax Revenue Refunding Bonds, 2005
(216)
2,760,900
5,500
- 99.80%
Sales Tax Rev Bds Reserve, 2002,2003,2005
(217)
10,401,500
0
- 100.00%
Caribbean Gardens G.O. Bond
(220)
8,900
1,300
- 85.39%
Naples Pk Drainage Assessment Bds, 1997
(226)
31,200
5,700
- 81.73%
Pine Ridge/ Naples Production Park, 1993
(232)
1,897,400
1,865,600
-1.68%
Forest Lakes Limited G.O. Bonds, 2007
(259)
749,400
1,484,300
98.07%
Radio Rd E MSTU G.O. Bonds, 2012
(266)
141,700
150,400
6.14%
Conservation Collier Limited G.O. Bds, 2005A
(272)
5,986,400
76,000
- 98.73%
Conservation Collier Limited G.O. Bds, 2008
(273)
0
34,900
N/A
Bayshore CRA Letter of Credit, Series 2009
(287)
3,030,200
1,455,000
- 51.98%
Special Obligation Bonds, Series 2010,2010B
(298)
18,908,900
22,284,300
17.85%
Commercial Paper Loans 1
(299)
1 500
0
- 100.00%
Subtotal Debt Service Funds
1 58,653,900
41,525,000
- 29.20%
Capital Projects /Expenditures Funds
County -Wide Capital Projects
(301)
7,327,900
12,687,300
73.14%
Parks Capital Improvements
(306)
3,815,300
1,425,700
- 62.63%
Library Capital Projects
(307)
0
368,800
Growth Management Capital
(310)
0
85,300
N/A
Road Construction Operations
(312)
2,660,500
2,704,700
1.66%
Road Construction
(313)
30,841,500
35,229,600
14.23%
Museum Capital
(314)
200,000
0
- 100.00%
Clam Bay Restoration
(320)
183,100
188,100
2.73%
Pelican Bay Irrigation /Landscaping
(322)
647,600
433,200
-33.11%
Stormwater Operations
(324)
1,242,400
1,202,100
-3.24%
Stormwater Capital Improvement Projects
(325)
5,651,700
6,319,400
11.81%
Road Impact District 1, N Naples
(331)
5,760,100
2,665,200
- 53.73%
Road Impact District 2, E Naples & GG City
(333)
2,402,500
1,063,000
- 55.75%
Road Impact District 3, City of Naples
(334)
293,400
405,600
38.24%
Road Impact District 4, S County & Marco
(336)
9,248,400
10,180,800
10.08%
Road Impact District 6, Golden Gate Estates
(338)
3,579,500
1,592,400
- 55.51%
Road Impact District 5, Immokalee Area
(339)
876,300
1,220,800
39.31%
Road Assessment Receivable
(341)
419,100
431,300
2.91%
Regional Park Impact Fee - Incorporated Areas
(345)
193,500
249,300
28.84%
Community & Regional Park Impact Fee
(346)
11,160,600
15,637,500
40.11%
EMS Impact Fee
(350)
647,900
644,500
-0.52%
Library Impact Fee
(355)
1,565,300
1,649,700
5.39%
Community Park Impact Fee - Naples/ Urban
(368)
187,000
157,200
- 15.94%
Ochopee Fire Impact Fees
(372)
14,900
15,900
6.71%
Isle of Capri Fire Impact Fees
(373)
7,700
49,300
540.26%
Correctional Facilities Impact Fees
(381)
2,640,000
3,238,300
22.66%
Law Enforcement Impact Fees
(385)
3,094,300
3,134,600
1.30%
General Government Building Impact Fee
(390)
7,437,900
7,645,800
2.80%
Subtotal Capital Funds
102,098,400
110,625,400
t . ,g ITEM
No. e
SEP
P9 `�
Collier County, Florida
Fiscal Year 2013/2014
Summary of Budget by Fund
FY 12/13 FY 13/14 %
Fund Adopted Tentative Budget
Fund Title No. I Budget Budget Change
Enterprise Funds
County Water Sewer Operating
(408)
127,035,300
126,703,700
- 0.26°/
County Water Sewer Assessment Capital
(409)
11,100
27,000
143.240/c
County Water Sewer Debt Service
(410)
37,860,900
39,283,100
3,76°
County Water Impact Fees
County Water Capital Projects
(411)
8,736,500
11,220,700
28.43%
County Sewer Impact Fees
(412)
(413)
27,354,100
9,666,000
27,863,200
1.86%
County Sewer Capital Projects
(414)
49,572,100
11,752,000
40,220,400
21,58%
County Water Sewer Bond Proceeds Fund
(415)
0
- 18.86%
County Water Sewer Grants
(416)
0
0
N/A
County Water Sewer Grant Match
(417)
0
400
N/A
Collier Area Transit Grants
(424)
0
300
N/A
Collier Area Transit Grant Match
(425)
477,500
0
442,700
N/A
- 7,29%
Collier Area Transit
Transportation Disadvantaged
(426)
2,707,700
2,879,200
6.33%
Transportation Disadvantaged Grant
(427)
(428)
2,448,700
2,511,800
2.58%
Transportation Disadvantaged Grant Match
(429)
0
79,400
700
N/A
Goodland Water District
(441)
522,200
84,000
5.00%
Solid Waste Disposal
Landfill Closure
(470)
18,585,500
0
18,673,000
- 100.00%
0.47%
Solid Waste Disposal Grants
(471)
(472)
3,016,100
3,015,500
- 0.02%
Mandatory Collection
Solid Waste Capital Projects
(473)
0
27,410,100
0
26,510,900
N/A
°
-3.81 /°
Solid Waste Grant
(474)
(475)
6,513,400
6,005,000
-7.81%
Solid Waste Grant Match
(476)
0
0
0
N/A
EMS
EMS Grants and Capital
(490)
22,058,600
0
23,046,600
N/A
4.48%
First Responder
(491)
(492)
800,000
3,880,000
385.000/c
EMS Grant
(493)
0
0
600
N/A
Airport Authority Operations
Airport Authority Capital
(495)
4,104,500
0
3,613,600
N/A
- 11.96%
Immokalee Airport Capital
(496)
(497)
138,000
456,500
15,500
- 88.77%
Airport Authority Grant
(498)
69,200
- 84.84%
Airport Authority Grant Match
(499)
0
3,500
0
N/A
Subtotal Enterprise Funds
6,700
91.43%
349,557,700
347,825,800
- 0.50%
Internal Service Funds
Information Technology (
(505) 5
5,437,700 6
6,090,900 1
12.017
Property & Casualty 8
(506) 1
123,000
868,200 6
AGENDA I EII
No. s
SEP -1 19 2013
2 g S✓
Collier County, Florida
Fiscal Year 2013/2014
Summary of Budget by Fund
FY 12/13
FY 13/14
%
Fund Title
Fund
No.
Adopted
Budget
Tentative
Budget
Budget
Change
Trust and Agency Funds
Confiscated Property Trust.
(602)
374,100
228,900
-38.81
Crime Prevention
(603)
1,098,800
1,232,000
12.12%
University Extension
(604)
58,500
85,800
46.67%
GAC Land Trust
(605)
1,101,200
1,120,400
1.74%
GAC Road Trust
(606)
0
76,600
N/A
Parks and Recreation Donations
(607)
21,200
11,000
- 48.11%
Law Enforcement Trust
(608)
758,600
722,000
- 4.82%
Domestic Violence Trust
(609)
0
349,200
N/A
Animal Control Trust
(610)
186,300
182,100
- 2.25%
Combined E -911
(611)
4,753,300
4,095,000
- 13.85%
Library Trust Fund
(612)
588,500
716,400
21.73%
Drug Abuse Trust
(616)
4,100
4,100
0.00%
Freedom Memorial
(620)
180,700
182,600
1.05%
Countryside Wall
(630)
0
0
N/A
Law Library
(640)
69,300
68,800
-0.72%
Legal Aid Society
(652)
108,400
108,400
0.00%
Office of Utility Regulation
(669)
1,189,900
1,375,700
15.61%
Deposit Fund
(670)
0
0
N/A
Caracara Prairie Preserve
(674)
0
1,837,300
N/A
Court Administration
(681) 1
2,432,900
2,344,600 1
- 3.63%
Subtotal Trust Funds
12,925,800
14,740,900
14.04%
Total Budget by Fund
1,306,136,500
1,304,065,200
- 0.16%
Less:
Internal Services
71,567,400
71,763,000
0.27%
Interfund Transfers
352,667,100
344,561,900
- 2.30%
Net County Budget
881,902,000
887,740,300
AGENDA Q. E V
No..��,7r �.
SE - L.
LP