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Agenda 06/17-21/1999 B NOTICE OF PUBLIC MEETING BOAPaD OF COUNTY COMMISSIONERS COLLIER COUNTY, FLORIDA BUDGET WORKSHOPS THURSDAY, JUNE 17, 1999 FRIDAY, JUNE 18, 1999 MONDAY, JUNE 21, 1999 Notice is hereby given that the Collier County Board of County Commissioners will conduct a budget workshop at the Collier County Government Complex, 3301 Est Tamiami Trail, 3rd Floor, Administration Building, Naples, Florida. Copies of the agenda for said meeting will be made available to the press and may be obtained at the office of Management and Budget, same location, same period of time. Thursa~y, June 17, 1999 - 9:00 a.m. General OvervieW Ad Valorem Tax Implications Debt Service Funds (200's) Trust Funds (600's) MSTD General Fund (111) Special Revenue Funds (100's) EnterpriSe Funds (400's) Internal Service Funds {500's) Capital Funds (300's) Friday, June 18, 1999 - 9:00 a.m. General Fund (001) Overview General Fund Operating Divisions: BCC County Attorney Management Offices Support Services Emergency Services Public Services Community Development/Environmental Services Public Works Courts & Related Agencies State Attorney/Public Defender/Court Costs Airport Authority Operations Review of General Fund Supported Capital Projects Constitutional Officers: Property Appraiser Supervisor of Elections Clerk of Courts Sheriff's Office *Monday, June 21, 1999 - 9:00 a.m. Wrap-up * Discussion regarding County Administrator's Performance Evaluation criteria. Any person who decides to appeal a decision of the 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 the testimony and evidence upon which the appeal is to be based. BOARD OF COUNTY COMMISSIONERS COLLIER COUNTY, FLORIDA PAMELA S. MAC' KIE, CHAIRWOMAN DWIGHT E. BROCK, CLERK By: /s/Ellie Hoffman, Deputy Clerk (SEAL) SUMMARY INFORMATION A Collier County, Florida Property Tax Rates FY 00 Proposed Water Pollution Control 114 0.0413 0.0357 ($0~6~ -13.6% To~al County Wide Millage Rate 3.5923 3.5852 ($0.71) -0.2% Road District 2 103 0.1163 0.0809 ($3_'~4) -30.4%~ Road District 5 106 0,2195 03319 $11,24 51 Golden Gate Community Cen~c 130 0,2985 02266 ($7.19) -24.1% Naples Park Drainage 139 0.0000 0.0000 $0.00 N/A! Victoria Park Drainage 134 0.1240 0.1144 ( $0.% ) -7.7% Naples Production Park 138 0.0000 0.1455 $14.55 N/A Isle of Capri Fire 144 1.0000 1.0000 $0.00 0.0% Collier County Fire 148 1.7979 2.00(}0 $2021 11 Sabal Palm Road MSTU 151 4.5090 0.0000 ($450.9(~) -100.0% Hawksridge Stormwater Pumping MSTU 154 0.1114 0.0620 ($4.94) -44.3% Immokalee Beauti~cafion MSTU 156 1.0000 1.0000 $0.00 0.0% Parks GOB Debt Service 206 0.0495 0.0423 ($0.,I~,_) -14.5% Isles of Capri Municipal Rescue 244 0.1810 0.1643 ($1-6'3 -9 -2% Naples Production Park Street Lighting 770 0.0060 0.0627 :$5.67 945.0% Pelican Bay MSTBU 778 0.2484 02215 ($2.6~} -10.8% B Collier County, Florida Property Tax Dollars FY 00 Proposed Total County Wide Taxes Levied 76,669,002 86,990,400 13.5% Koad District 2 103 818;60 653,200 -20.2% Road District 5 106 306,992 572,100 86.4% Golden Gate Community Center 130 214,782 174,800 -18.6% Pine Ridge Industrial Park 140 25,398 9,600 -62.2% Golden Gate Parkway Beautification 136 195,608 206,800 5.7% Naples Production Park 138 0 30,800 #N/A Naples Production Park 141 6,823 7,200 5.5% Ochopee Fire Control 146 496,625 532,200 7.2% Goodland/Horx's Island Fire 149 0 61,300 #N/A. Sabal Palm Koad MSTU 151 25,496 0 -100.0% Hawksridge Stormwater Pumping MSTU 154 2.098 1,500 -28.5%[ Immokalee Beauti~cation MSTU 156 223,048 230,700 3.4% Parks GOB Debt Service 206 864.902 835,800 -3.4°4 Isles of Capri Municipal Kescue 244 30.932 30,100 -2.7% Naples Prod. Park St. Lighting 770 1.301 13,400 930.0%~ Pelican Bay MSTBU 778 494,834 499,100 0.9%~ Total Taxes Levied 91,825,009 103,146,900 12.3%' C Collier County, Florida Taxable Property Values FY O0 County Wide Taxable Values General Fund 001 21,342,594~299 23, 15 1,666,904 24;63,8332 12 13-7°,I Dependent Districts and MSTU's Road District 3 104 4,672,138;69 4,909,122,104 5,148305.527 102% Unincorporated Area General Fund 111 13,112,364,3 12 14,010,199,494 14,854,689.500 133% Pine Ridge Industrial Park 140 23 1,524,839 253,835,508 264,753.143 14.4~i Golden Gate Parkway Beautification 136 391; 15,592 408,861,921 4 13,524,092 5.7% Naples Prod. Park St. Lighting ! 39 406,346,679 427,542,425 435,6 12.723 Isle of Capd Fire 144 170,893,826 174, 182,890 183,197,004 Collier County Fire 148 183,140,489 171,340,731 17 1,392.092 -6.4% Sabal Palm Road MSTU 15 1 5,654,368 5,582, 157 5,652358 0.0% Hawksridge Stormwater Pumping MSTU ! 54 18,829,319 19,898, 138 24212.82 1 28.6% Immokalee Beautification MSTU 156 223,048,068 230,544,913 230,731.959 3.4% Parks GOB Debt Service 206 17,472,772,433 18,688,849,293 19,756,517,856 13.1% Collier County Lighting 760 2,542,911,667 2,517,699,289 2,558,982.544 Pelican Bay MSTBU 778 1,992,084,359 2,143,809,748 2253,537,589 13.1',~ D Impact of Proposed Millage Rates County-wide Millage Rates Total General Fund Pollution Control County-wide Dollar Millaqe Rate Milla,qe Rate Mi!la.qe Rate Impact FY 00 Propos 3.5495 0.0357 3.5852 $ 358.52 FY 99 Adopte 3.5510 0.0413 3.5923 $ 359.23 Change (0.0015) (0.0056) (0.0071) $ (0.71) Unincorporated Area General Fund Millage Rate Dollar MillaRe Rate Impact FY 00 Proposed 0.5293 $ 52.93 FY 99 Adopted 0.5887 $ 58.87 Change (0.0594) $ (5.94) E Growth in County-wide Taxable Value County-wide Taxable Value Taxable Values % Chancle Current Year Gross Taxable Value $ 24,263,833,212 13.7% Net New Taxable Value (New Construction) $ 1,112,166,308 5.2% Current Year Adjusted Taxable Value (Existing Property) $ 23,151,666,904 8.5% Prior Year Gross Taxable Value $ 21,342,594,299 n/a Unincorporated Area Taxable Value Taxable Values % Chan.qe Current Year Gross Taxable Value $ 14,854,689,500 13.3% Net New Taxable Value (New Construction) $ 844,490,006 6.4% Current Year Adjusted Taxable Value (Existing Property) $ 14,010, 199,494 6.8% PriorYear Gross taxable Value $ 13,112,364,312 n/a BCC COUNTY ATTORNEY A-1 Board Departments General (001) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriation Unit Exp/Rev Budget Exp/Rev Service Service Budget Change BCC 577,454 620,300 619,500 644,800 0 644,800 3.9% County Attorney 1,218,773 1,305,000 1,280,900 1,291,000 0 1,291,000 -1.1% Other Gen. Admixz 626,732 768,800 783,900 932,500 0 932,500 21.3% Total Appropriations 2,422,959 2,694,100 2,684,300 2,868,300 0 2,868,300 6.5% Less Revenues: BCC 2,229 100 100 100 0 100 -1.1% County Attomey 122,384 160,400 160,400 160,400 0 160,400 0.0% Other Gen. AdmLm 5,115 0 0 0 0 0 N/A Net Cost Gen'l. Rev 2,293,231 2,533,600 2,523,800 2,707,800 0 2,707,800 6.9% Permanent Positions BCC 9 9 9 9 0 9 0.0% County Attorney 19 19 19 19 0 19 0.0% Other Gen. Admin. 0 0 0 0 0 0 N/A Total Positions 28 28 28 28 0 28 0.0% A-3 MANAGEMENT OFFICES A-4 A-5 Management Offices General (001) FY 97/98 FY 98/99 FY 98/99 IvY 99100 FY 99/00 FY 99/00 % Actual Adopted Forecast Ctwrent Expanded Total Budget Appropriation Unit ExpfRev Budget Exp/Rzv Service Service Budget Change County Administrator 489,175 559,300 532,500 522,800 0 522,800 -6.5% Public Information 0 0 0 0 0 0 N/A Board Related Costs 47,609 70,300 60,500 61,800 0 61,800 -12.1% OMB 366, 192 384,500 395,900 404,500 0 404,500 5.2% Total Appropriations 902,976 1,014,100 988,900 989,100 0 989,100 -2.5% Less Revenues: County Administrator 0 0 0 0 0 0 N/A Public Information 0 0 0 0 0 0 N/A Board Related Costs 5,053 7,400 7,400 7,400 0 7,400 0.0% OMB 326 100 200 200 0 200 100.0% Total Revenues 5,379 7,500 7,600 7,600 0 7,600 1.3% Net Cost Gen'l. Rev 897,597 1,006,600 981,300 981,500 0 981,500 -2.5% Permanent Positions: County Administrator 6 6 6 6 0 6 0.0% Public Information 0 0 0 0 2 2 N/A OMB 7 7 7 7 0 7 0.0% Total Positions 13 13 13 13 2 15 15.4% A-6 SUPPORT SERVICES Support Services General Fund (001) FY 97/98 FY 98/99 FY 98 99 FY 99/00 FY 99/00 FY 99/00 % Appropriations Actual Adopted Forec~ Current Expanded Total Budget Exp/Rev Bud:~et ExWRev Sen-ice Service BudVet ChanSe Administration 171,929 175,000 186,5CO 172.500 0 172,500 - 1.4% Purchasing 528,606 585,700 603, 1 C,3 606,400 0 606,400 3.5% Human Resources 512,560 5 14,000 512,2C~9 520.800 0 520,800 1.3% Real Property, 564, 154 615,400 631 ,~3 636.500 95,900 732,400 19.0% Facilities Mgrnt 3,536,773 3,575,900 3,846,2C,9 3.657,400 134,500 3,791,900 6.0% County Security 306,370 281,900 286,~0 284,900 28,700 3 13,600 11.2% Information Technology 63,983 1,414,200 1,350,760 1.414,600 1,173,000 2,587,600 83.0% 800 MHz Admin. 0 0 0 0 0 0 N/A Public Information 148,744 288,400 282.0C.~) 278.800 103,400 382,200 32.5% Helicopter 0 0 0 0 0 0 N/A Transfer - IT 11,900 0 0 0 0 0 N/A Transfer - DOR 15,000 0 0 0 0 0 N/A Helicopter Reserve 0 0 0 0 0 0 N/A Transfer- Ochopee 0 0 0 0 0 0 N/A Total Appropriations 5,860,019 7,450,500 7,698,600 7.571.900 i,535,500 9,107,400 22.2% Less Revenues: Purchasing 53,23 ! 89,400 119,6,)0 86500 0 86,700 -3.0% Human Resources 2,772 300 ~)O 700 0 700 133.3% Real Property 271,523 254,500 248290 252_~00 90,000 342.300 34.5% Facilities Mgmt 225,500 49,000 153,0~)O 49.000 0 49,000 0.0% Information Technology 0 269,000 243,700 250.400 0 250,400 -6.9% 800 MHz Admin. 0 0 0 0 0 0 N/A Public Information 0 0 500 0 0 0 N/A Emergency Grants 0 0 0 0 0 0 N/A Helicopter - Transfer (522) 0 0 0 0 0 0 N/A Total Revenues 553,026 662,200 765,~0 639. 100 90,000 729,100 10.1% Net Cost Gen'l Fund 5,306,993 6,788,300 6,933.290 6,932.800 1,445,500 8,378,300 23.4% Permanent Positions Administration 2.0 2.0 2.0 2.0 0.0 2.0 0.0% Purchasing 10.0 10.0 10.0 10.0 0.0 I 0.0 0.0% Human Resources 8.5 9.0 9.0 9.0 0.0 9.0 0.0% Real Property I 1.0 11.0 11.0 I 1.0 2.0 13.0 18.2% Facilities Mgmt 29.0 33.0 33.0 33.0 1.0 34.0 3.0% County Security 8.5 8.5 5,.5 8.5 1.0 9.5 11.8% Information Technology 1.0 21.0 21.0 22.0 4.0 26.0 23.8% 800 MHz Admin 0.0 0.0 0.0 0.0 0.0 0.0 N/A Public Information 4.0 6.0 6.0 6.0 2.0 8.0 33.3% Helicopter 0.0 0.0 9.0 0.0 0.0 0.0 N/A Total Positions 74.0 104.5 1C~).5 101.5 I 0.0 111.5 6.7% A-8 SUPPORT SERVICES DIVISION Proposed FY 00 Expanded Services General (001) DEPARTMENT AMOUNT DESCRIPTION Real Property Management $95,900 Request is for 2 Real Property Specialist 1I positions including operating and capital expenses. These positions are necessary to perform land acquisition duties on a multitude of capital projects in order to meet CIE requirements for such departments as Transportation. Stormwater Management, Parks and Recreation, and to initiate advanced right-of-way acquisition. Expected is $90,000 of these expenditures to be reimbursed to the General Fund through interdepartmental payment for services. Facilities Management $25,800 Request is for an Inventor>.- Clerk for maintaining and controlling the inventory of parts and tools for the Building Maintenance section. $21,800 Request is for new building maintenance services for the Gelden Gate Fitness Center, 3 Sheriffs leased buildings, and Domestic Animal Services. $23,600 Request is for operating expenses to provide new grounds maintenance services to Marco Island Library, Everglades Museum, and Domestic Animal Services. $63,300 Request to provide ne~v custodial services to the Gelden Gate Fitness Center, 3 Sheriffs leased buildings, Domestic Animal Serv'ices, Parks and Recreation at Barefoot and Vanderbilt, lease space for the Revenue and Transportation Departments, and for the outsourcing of the specialized cleaning of the Court House floor. SUBTOTAL $134,500 Facilities Management (County $28,700 Request is for a Security Officer to be located at Security) the Immokalee Government Center and Court House. A-9 SUPPORT SERVICES DIVISION (Cont.) Proposed FY 00 Expanded Services General (001) DEPARTMENT AMOUNT D E S CRIPTION Information Technology $298,300 Request is for a Senior GIS Analyst/Programmer position, a GIS Specialist position, 2 GIS Technician positions, operating expenses, and capital outlay to further the progress in the second year of a five year development of a countywide mapping and land information system by performing a variety. of advanced planning, design and GIS production activities. $74,700 Request is for GIS System Support to collect, maintain and analyze spatial data as well as develop GIS sof~'are applications. This request includes 2 N'r servers, a color printer, a paper cut device, software, maintenance contract on the sof~are, and operating expenses. $300,000 Request is for contractual services for the establishment of a survey control network. This will be the base for accurately digitizing all additional map overlays for the County GIS. Coverage will be approximately 250 square miles of urban area within Collier County. $500,000 Request is for contractual services for a GIS planimetric base. This map overlay will provide an inventory of man-built structures, such as, footprints of building? fence lines, driveways, manholes, drainage outfalls, edges of pavement, etc. Expanded services are entirely offset by $1,173,000 in transfers from Community Development (113) and Utilities (408). SUBTOTAL $1~ 173,000 A-10 SUPPORT SERVICES DIVISION (Cont.) Proposed FY 00 Expanded Services General (001) DEPARTMENT AMOUNT DESCRIPTION Office of Public Information $103,400 There is $103,400 budgeted for a weekly news show that will provide up-to-the minute information on Collier County Government and its current events. Included are personal services of $80,000 for a Video Producer/Director and Senior Secretary and operating expenses of $23,400. Costs of this program are offset 100% by a transfer from the Unincorporated Area General Fund (111). TOTAL $1,535,500 A-11 A-12 EMERGENCY SERVICES A-13 Emergency Services General Fund (001) FY 97/98 FY 98/99 FY 98/99 FY 99100 FY 99/00 FY 99/00 % Actual Adopted Forecast Ctm',mt Expanded Total Budget Appropriations Exp/Rev Budget Exp/Rev Sen-ice Service Budget Change Administration 0 126,000 5,300 145, 100 0 145, 100 15.2% Emergency Mgmt 212,592 212,700 220,300 211,700 0 211,700 -0.5% Helicopter 468,534 480,800 482,300 553,700 14,200 567,900 18.1% Transfer - EMS 4,184,500 5,840,600 5,840,600 6,315,400 814,000 7,129,400 22.1% Transfer - Ochopee 357,800 285,500 285,500 243,400 0 243,400 -14.7% Transfer-Isle of Capri Fire 0 0_ 0 12.400 0 12,400 N/A Total Appropriations 5,223,426 6,945,600 6,834,000 7,481,700 828,200 8,309,900 19.6% Less Revenues: Administration 0 0 0 0 0 0 N/A Emergency Mgmt. 38,739 38,000 38,900 38,003 0 38,000 0.0% Helicopter - Transfer (522) 0 0 0 0 0 0 N/A Total Revenues 38,739 38,000 38,900 38,000 0 38,000 0.0% Net Cost Gen'l Fund (5,184,687) (6,907,600) (6,795,100) (7,443,700) (828,200) (8,271,900) 19.8% Permanent Positions Administration 0 2 2 2 0 2 0.0% Emergency Mgmt 3 3 3 3 0 3 0.0% Helicopter 4 4 4 4 0 4 0.0% Total Positions 7 9 9 9 0 9 0.0% A-14 EMERGENCY SERVICES DIVISION Proposed FY 00 Expanded Services General (001) DEPARTMENT AMOUNT DESCRIPTION Helicopter Operations $14,200 Request is for aircraf~ flight following equipment. This equipment will be used to ensure that the precise location of the Collier County EMS helicopter is always known while in flight. This will provide additional safety for the crew and patient in the event of an emergency landing throughout Southwest Florida. By purchasing this communication equipment, it allows Collier County EMS to tap into the existing system infrastructure, which was funded by a state grant that established an EMS helicopter flight following and flight tracking system for Collier and Lee Counties. TOTAL $14,200 A-15 EMERGENCY SERVICES DIVISION Proposed FY 00 Expanded Services Fund (490) DEPARTMENT AMOUNT DESCRIPTION Emergency Medical Services $386,800 Request is for a Central East Naples Area ALS Ambulance. The East Naples area has experienced and increased call load that has affected response times to the entire East Naples area and specifically to the Central East Naples area. This unit will meet the Board of County Commissioners' level of service standards of a 6 minute response time and is consistent with the growth management plan. Included are personal services of $384, 100 for 4 EMS Lieutenant Paramedics and 3 EMS Paramedics, and operating costs of $2,700. $48,500 Request is for a BLS-AED Coordinator. This position will implement and administer the Community Automatic Defibrillator Program by placing automatic defibrillators throughout the community. This is a highly technical position that will minimize any potential liability by coordinating and training the lay public on the use of these devices, pursuant to County Ordinance. Included are operating costs. $30,800 Request is for an additional Secretary. This position will provide the additional staff necessitated by continued system growth. Included are operating costs. $33,800 Request is for operating costs for a Professional Education Program. This program will provide continuing education and certification. $176,400 Request is for dual flight medic staffing. This will provide staffing 24 hours a day, 7 days a week to ensure a consistent level of care during day or night flights. Included are personal services of $175,600 for 3 EMS Flight Paramedics and operating costs of $800. A-16 EMERGENCY SERVICES DIVISION (Cont.) Proposed FY 00 Expanded Services Fund (490) DEPARTMENT AMOUNT DESCRIPTION $67,900 Request is for a Professional Certification Pay Program. This program provides an annual bonus for professional certifications and expanded responsibilities. Examples include the ALS Engine Program and Field Training Program. $31,000 Request is for operating costs to be transferred to the Department of Revenue for an additional position. This position will improve the department's effectiveness and efficiency in the billing and collecting processes. Reserves $38,800 Increase in Reserves Requested but not recommended: There is $232,700 requested but not recommended for a Port of the Islands Area ALS Ambulance. The Port of the Islands is a populated and developed service area with a current response time of 12 to 15 minutes. Response times will be improved upon by a joint program with the Ochopee Fire District by using a multi-purpose vehicle staffed by a paramedic and firefighter. Included in this request are personal services of $230,100 for 4 EMS Lieutenant Paramedics and operating costs of $2,600. TOTAL $814,000 A-17 A-18 PUBLIC SERVICES A-19 Public Services Division Summary General (001) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriation Unit Exp/Rev BudSet Exp/Rev Service Service Budget Change Public Services Admin. 155,820 166,600 ! 76,200 165,200 0 165,200 -0.8% Domestic Animal Services 537,893 625, 100 626,600 644, 100 58,600 702,700 12.4% Library 2,907,530 3,325,100 3,344,400 3,027,000 125,700 3,152,700 -5.2% Museum 861 0 0 0 0 0 N/A Parks &Recreation 6,387,837 7,289,900 7,250,500 1,423,200 122,600 1,545,800 -78.8% Social Services 2,449,087 2,951,800 3,117,900 3,093,700 0 3,093,700 4.8% Services for Seniors 0 0 0 0 0 0 N/A Veterans Services 16 i ,429 166,200 i 65,300 158,900 0 158,900 -4.4% Extension Services 449,759 496,600 489,500 488, 100 63,300 551,400 11.0% Mental Health 710,400 810,400 810,400 788, 100 0 788, 100 -2.8% Public Health Dept. 623,772 833,700 833,700 836,200 86,000 922,200 10.6% Transfer-GGCC 211,500 220,700 220,700 0 0 0 - 100.0% Trans.-Library Grants 0 0 0 0 0 0 N/A Trans.-Serv. Seniors 95,734 110,000 110,000 110,000 0 110,000 0.0% Medical Examiner 521,905 589,300 589,300 674,800 0 674,800 14.5% Total Appropriations 15,213,527 17,585,400 17,734,500 11,409,300 456,200 11,865,500 -32.5% Less Revenues: Domestic Animal Services 159,275 170,300 174,500 174,500 0 174,500 2.5% Library 532,881 468,500 515,100 178,500 0 178,500 -61.9% Museum 0 0 0 0 0 0 N/A Parks & Rec. 1,930,673 1,654,900 1,617,500 633,800 0 633,800 -61.7% Social Services 0 0 0 0 0 0 N/A Services for Seniors 3 I, 119 0 0 0 0 0 N/A Veterans Services 0 0 0 0 0 0 N/A Extension Services 56,204 60,700 60,800 60,800 0 60,800 0.2% Public Health 0 0 0 0 0 0 N/A Medical Examiner 0 0 0 0 0 0 N/A Total Revenues 2,710,152 2,354,400 2,367,900 1,047,600 0 1,047,600 -55.5% Net Cost Gen. Rev 12,503,375 15,231,000 15,366,600 10,361,700 456,200 10,817,900 -29.0% Permanent Positions Public Services Admin. 2 2 2 2 0 2 0.0% Domestic Animal Services ! 1 13 13 13 2 15 15.4% Library 67 70 70 70 7 77 9.3% Museum 0 0 0 0 0 0 N/A Parks & Recreation 82 86 86 18 2 20 -76.7% Social Services 6 6 6 6 0 6 0.0% Veterans Services 3 3 3 3 0 3 0.0% Extension Services I 0 10 10 10 I 11 10.0% Total Positions 181 190 190 122 12 133 -29.8% A-20 PUBLIC SERVICES Proposed FY 00 Expanded Services General (001) DEPARTMENT AMOUNT DESCRIPTION Domestic Animal Services $27,000 Request is for a Customer Service Representative to handle incoming calls from the public, radio communications, officer dispatch, and processing incoming and outgoing animals. $27,600 Request is for an additional Kennel Worker to assist the public visiting the kennels, clean the kennels and assist with euthanasia. This will allow the Animal Control Officers to concentrate on enforcemenL $4,000 Request is for 2 additional personal computers for Animal Control Officers. Current six are sharing two computers. SUBTOTAL $58,600 Library $37,000 Request is for a Children's Librarian to provide progrm'tm~ing services and collection development for children in the Golden Gate Branch Library. Attendance at children's programs in Golden Gate exceeded 7,500 in 1998 with the highest summer participation in the system at over 2,000. Golden Gate Branch is currently served by a visiting Children's Librarian, which is not sufficient to meet the growing demands for the children's programs. $24,700 Request is for a Library Assistant I at the Immokalee branch to meet minimum library standards of personal safety and security of two employees on duty at all times. $24,700 Request is for a Library Assistant I at the Collier North (Vanderbilt Beach) branch to work at the circulation desk. This branch is the most heavily used branch in the system with circulation last year at 290,000 items. This equates to a circulation ratio of 48,000 items per employee, which is more than double the standard of 21,000 items per employee. A-21 PUBLIC SERVICES (Cont.) Proposed FY 00 Expanded Services General (001) DEPARTMENT AMOUNT DESCRIPTION $10,400 Request is for a part-time Library Assistant I at the East Naples branch to work at the circulation desk, which currently has a circulation ratio of 44,000 items per employee. This position would also assist with the children's summer reading program. $11,100 Request for a Public Services Librarian at the North Regional Library who will supervise all public departments and develop the opening day materials collection of approximately 30,000 adult books, 2,000 books on tape, 1,000 compact discs, 5,000 video cassettes and 300+ periodical subscriptions. $10,600 Request is for a Senior Librarian/Children's Department Director for the North Regional Library who will organize, plan and present all children's programs and services. This position will select the opening day collection of 15-20,000 juvenile books, 3,000 paperbacks, 500 juvenile audio cassettes, 2,000 young adult books, 1,000 young adult paperbacks, 2,500 juvenile video cassettes, and 250 young adult and juvenile periodical subscriptions. $7,200 Request is for a Senior Secretary position for the North Regional Library to provide secretarial support and function as a purchasing agent for the facility. This position will monitor the budgets and assist in the acquisition and processing of all the materials required to begin operations. SUBTOTAL $125,700 Parks and Recreation $56,900 Request is for a Parks Superintendent to manage and provide leadership to the beach and water programs (Ranger and maintenance functions), aquatic facilities and park construction needs in those areas. A-22 PUBLIC SERVICES (Cont.) Proposed FY 00 Expanded Services General (001) DEPARTMENT AMOUNT DESCRIPTION $42,400 Request is for a Park Ranger I position at Barefoot Beach Preserve to comply with the Land Management Plan with the State of Florida. This poistion would patrol the area. enforce regulations, assist the public, help with maintenance and present interpretive programs. $10,300 Request is for modification of the change machines at the Marco South Access and Barefoot Beach to issue one token rather than 12 quarters in order to provide for better service to the public and reduce time spent recharging the machines and collecting the quarters. $5,000 Request is for construction of a sidewalk at the South Marco Beach Access to help with erosion, cut down on daily maintenance, and improve the appearance. This is a joint project with the City of Marco Island, who will do the landscaping of the area. $8,000 Request is to relocate the master parking meter at Vanderbilt Beach in order to keep traffic from backing up into the street. SUBTOTAL $122,600 Extension Services $8,000 Request is for a Marine Science Agent to maintain quality use of our coastal ~vaters for recreational and water dependent commerce through education of community leaders, and business, home and boat owners. This position would be funded 60% by University of Florida, 25/o by Lee County, and 20% by Collier County. $10,500 In response to the growing demand for services and programs, request is for a part-time Secretary I position to provide customer service support to the public and assist extension agents, volunteers and staff. A-23 PUBLIC SERVICES (Cont.) Proposed FY 00 Expanded Services General (001) DE PARTME NT AMOUNT D E S CRIPTION $44,800 Request is for a Community Information and Outreach Coordinator to provide the residents of Immokalee with referral service and resource information adapted specifically for the people of Immokalee. This is funded by an interfund transfer from the Unincorpomted Area General Fund as the principal benefit from this position will accrue to unincorporated area residents. SUBTOTAL $63,300 Public Health Department $86,000 There is $86,000 budgeted as a contribution to the Healthy Kids program. TOTAL $456,200 A-24 COMMUNITY DEVELOPMENT & ENVIRONMENTAL SERVICES A-25 Community Development General (001) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriations Exp/Rev Budget Exp/Rev Service Service Budget Change Natural Resources 381,466 522,000 509,100 124,300 0 124,300 -76.2% Reg. Planning Council 57,911 60,100 60,100 63,100 0 63.100 5.0% Housing & Urban Imp. 462,409 584,400 653,800 595, 100 60,000 655, 100 12.1% Transfer - (113) 48,200 48,200 48,200 48,200 0 48,200 0.0% Transfer - MSTD (111) 142,500 135,600 135,600 165,900 0 165,900 22.3% Transfer - MPO 100,000 100,000 240,000 200,000 0 200,000 100.0% Total Appropriations 1,192,486 1,450,300 1,646,800 1,196,600 60,000 1 ?256,600 - 13.4% Less Rev.frransfers Natural Resources 267,483 435,800 419,600 124,300 0 124,300 -71.5% Housing &Urban Imp. 156,727 201,400 201,400 191,700 60,000 251,700 25.0% Total Revenues 424,210 637,200 621,000 316,000 60,000 376,000 -41.0% Net Cost Gen'l. Rev 768,276 813,100 1,025,800 880,600 0 880,600 8.3% Permanent Positions: Natural Resources 2 7 2 2 0 2 -71.4% Housing & Urban Imp. 4 4 4 4 0 4 0.0% Total Positions 6 11 6 6 0 6 -45.5% A-26 COMMUNITY DEVELOPMENT & ENVIRONMENTAL SERVICES DIVISION Proposed FY 00 Expanded Services General Fund (001) DEPARTMENT AMOUNT DESCRIPTION Housing &Urban $60,000 Request is for funds from grant administration Improvement revenues to leverage state and federal economic development grants. TOTAL $60,000 A-27 A-28 PUBLIC WORKS A-29 Public Works General (001) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriations Exp/Rev Budget Exp/Rev Service Service Budget Change Water Management 1,232,490 1,537,000 1,498,100 1,489,300 30,000 1,519,300 -1.2% Transfer-Road &Bridge 5,912,400 4,979,400 4,979,400 5,312,400 423,900 5,736,300 15.2% Total Appropriations 7,144,890 6,516,400 6,477,500 6,801,700 453,900 7,255,600 11.3% Less Revenues: Water Management 74,182 24,400 20,900 19,300 0 19,300 -20.9% Net Cost General Revenue 7,070,708 6,492,000 6,456,600 6,782,400 453,900 7,236,300 11.5% Permanent Positions Water Matmgement 15 18 18 18 0 18 0.0% Permanent Positions 15 18 18 18 0 18 0.0% A-30 PUBLIC WORKS DIVISION Proposed FY 00 Expanded Services Fund (001) DEPARTMENT AMOUNT DESCRIPTION Stormwater Management $30,000 Request is for specialized maintenance equipment, which includes a 44 HP Brush Chipper to keep up with the growth of Brazilian Pepper in the drainage easements, and a specialized mower for side slopes of ditches and ponds. TOTAL $30,000 A-31 Road and Bridge Fund Summary (101) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriation Unit Exp/Rev Budget Exp/Rev Service Service Budget Change Personal Services 4,382,825 4,990,300 4,871,400 4,958,400 57,800 5,016,200 0.5% Operating Expenses 2,483,610 2,583, 100 2,628,100 2,672,000 147,900 2,819,900 9.2% Capital Outlay 32,725 371,100 517,600 488,600 199,600 688,200 85.4% Attrition 0 (231,400) 0 (198,300) (2,300) (200,600) -13.3% Reserve-Capital Outlay 0 0 0 8,300 0 8,300 N/A Reserves 0 487,400 (52,200) 579,500 20,900 600,400 23.2% Total Appropriations 6,899, 160 8,200,500 7,964,900 8,508,500 423,900 8,932,400 8.9% Revenue: Motor Fuel Tax Rebate 85,262 200,000 110,000 110,000 0 110,000 -45.0% Gas Taxes 0 1,000,000 1,000,900 2,000,000 0 2,000,000 100.0% Mobile Home Licenses 106,861 108,100 107,000 112,600 0 i 12,600 4.2% InterestfMisc. 157,879 65,000 171,700 40,000 0 40,000 -38.5% Carry Forward 2,087,700 1,516,300 1,707,700 570,400 0 570,400 -62.4% Transfer (001 ) 5,912,400 4,979,400 4,979,400 5,312,400 423,900 5,736,300 15.2% Trans. MSTD/MSTU 77,000 283,200 283,200 298,700 0 298,700 5.5% Reimbursements 179,708 120,600 175,400 182,400 0 182,400 51.2% Revenue Reserve 0 (72,100) 0 (118,000) 0 (118,000) 63.7% Total Revenues 8,606,810 8,200,500 8,535,300 8,508,500 423,900 8,932,400 8.9% Permanent Positions 134 133 132 132 2 134 0.8% Revenues FY 98/99 - Miscellaneous revenues includes $94,300 from lawsuit settlement proceeds. Current FY 99/00 - Budgeted reserves of $579,500 includes reserve for contingencies of $406,000 and $173,500 for salary adjustments (3.5%). Revenues FY 99/00 - To balance Road and Bridge current service operations requires a $5,312,400 transfer from the General Fund (001). Expanded FY 99/00 To balance expanded services requires a $423,900 transfer from the General Fund (001). A-32 PUBLIC WORKS DIVISION Proposed FY 00 Expanded Services Road & Bridge (101) DEPARTMENT AMOUNT DE SCRIPTION Transportation Administration $70~000 Request is for leased office space based on the short- term space needs presented to the Board in FY 99. Maintenance Operations $85~000 Request is for purchase of 1 tractor and flail mower combination. Traffic Operations $92,600 Request is for 2 Traffic Technician I positions, 1 vehicle, 2 portable radios, and related operating expenses. $30,900 Request is for electrical contractual services for signal maintenance, and electricity associated with 12 new traffic signals and 50 new street lights. $1,500 Request is for a lap-top computer for downloading timings to the signal controller, thus allowing for quicker response time relative to signal timing problems. $90,300 Request is for a lift truck, radio and operating expenses, which will be used for signal/street light maintenance emergencies. $35,000 Request is for signal components maintenance costs. SUBTOTAL $250,300 Reserves $18~600 TOTAL $423~900 A-33 A-34 COURTS & RELATED A-35 Court Administration Court Fund (681) Courts Administration Fund 681 Overview FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriation Unit Exp/Rev Budget Exp/Rev Service Senice Budget Change CourtAdmin 587,159 699,900 706,200 730,300 122,200 852,500 21.8% Court Counseling 106,872 117,800 118,100 114,100 25,300 139,400 18.3% Wimess Management 215,768 228,300 213,900 234,500 0 234,500 2.7% Related Costs 1,278,472 1,204,800 1,228,800 1,274,700 0 1,274,700 5.8% Probation 775,099 959,800 968,700 910,300 34,700 945,000 -1.5% Reserve - Salary Adj. 0 0 0 51,900 0 51,900 N/A Transfer - (192) 41,458 0 17,900 0 0 0 N/A Total Appropriations 3,004,828 3,210,600 3,253,600 3,315,800 182,200 3,498,000 9.0% Revenues General Fund Transfer 3,006,768 3,210,600 3,235,800 3,315,800 182,200 3,498,000 9.0% Miscellaneous 1,060 0 0 0 0 0 N/A Grant Revenue 0 0 19,500 0 0 0 N/A Total Revenues 3,007,828 3,210,600 '3,255,300 3,315,800 182,200 3,498,000 9.0% Less General Fund Revenues: Mediation Fees 41,078 42,000 40,000 40,000 0 42,000 0.0% Classes 0 2,400 0 2,400 0 2,400 0.0% Probation Fees 876,748 937,300 929,500 1,014,000 0 1,014,000 8.2% Net Cost General Fund 2,085,942 2,228,900 2,264,600 2,259,400 182,200 2,439,600 9.5% Permanent Postions Court Admin 11.5 11.5 11.5 11.5 I 12.5 8.7% Court Counseling 2 2 2 2 1 3 50.0% Wimess Management 6 6 6 6 0 6 0.0% Probation 20 21 21 21 I 22 4.8% Total 39.5 40.5 40.5 40.5 3.0 43.5 7.4% Revenues are shown for iljustrative purposes only. Actual revenues are budgeted in the General Fund. The General Fund transfer required to fund the Current S errice portion o f the budget is $ 3,315,800 which is an in crease of 3.3 %. The General Fund transfer required to fund the entire budget, inclusive of expanded senices, is $3,498,000. This represents an increase of 9.0%. A-36 COURT RELATED AGENCIES Proposed FY 00 Expanded Services (Fund 681) DEPARTMENT AMOUNT DESCRIPTION Court Counseling $25,300 Request is for an Office Assistant I position to enhance office operations. Court Administration $25,300 Request is for an Office Assistant I position to provide assistance to the Court Administrator for the 20m Judicial Court as well as the newly elected Chief Judge who will be located in Collier County. $93,400 Request is to connect Collier County Court Operations into the new CJIS system in the 20m Judicial Court. $3,500 Request is for a new copier lease for the 5~ floor of the Court House Building. SUBTOTAL $122,200 Parole and Probation $34,700 Request is for an additional Probation Officer. TOTAL $182~200 A-37 Court Related Agencies General Fund (001) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriations Exp/Rev Budget Exp/Rev Service Service Budget Change State Attorney 253,244 232,300 232,300 187,700 37,600 225,300 -3.0% Public Defender 223,446 233,900 230,600 239,000 0 239,000 2.2% Circuit Judges 40,621 80,800 76,400 89, 100 17,000 106, 100 31.3 % County Judges 29,178 46,800 46,700 48,200 0 48,200 3.0% Transfer (192) 0 32,000 20,000 41,000 0 41,000 28.1% Total 546,489 625,800 606,000 605,000 54,600 659,600 5.4% Net Cost Gen. Fund 546,489 625,800 606,000 605,000 54,600 659,600 5.4% A-38 COURT RELATED AGENCIES Proposed FY 00 Expanded Services General (001) DEPARTMENT AMOUNT DESCRIPTION State Attorney's Office $37,600 R,equest is for expenses related to expansion of office space including $3,000 for wiring, $8,600 for utilities, and $15,000 to reconfigure the reception area and the entranceway. Capital outlay includes $1,100 for a fax machine, and $9,900 for 3 new computers, a laser printer, and hubs for network connections. Circuit Court Judges $17~000 Request is for office expenses related to the assignment of a new Judge in Collier County. TOTAL $54~600 A-39 A-40 AIRPORT AUTHORITY A-41 Division Summary Collier County Airport Authority Fund (495) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99 00 % Actual Adopted Forecast Current Expanded Total Budget Appropriation Umt Exp/Rev Budl~et Exp/Rev Service Ser~'ice Budget Chan~e Administration 342,215 274,400 442,100 326,900 0 326,900 19.1% Immokalee Reg. Airport 183,928 211,500 217,300 251,400 12,000 263,400 24.5% Everglades Airpark 115,454 121,200 126,300 130,400 0 130,400 7.6% Marco Isl. Exec. Airport 592,586 678,900 751,400 842,000 0 842,000 24.0% Reserves 0 72,300 0 96,200 600 96,800 33.9% Total Appropriations 1,234,183 1,358,300 1,537,100 1,646,900 12,600 1,659,500 22.2% Revenues Administration 525 24,000 2,300 18300 0 18,300 -23.8% Immokalee Reg. Airport 152,492 164,600 166,900 245,700 0 245,700 49.3% Everglades Airpark 46,073 59,100 56,700 61,400 0 61,400 3.9% Marco Isl. Exec. Aixport 764,045 763,500 875,600 952,500 0 952,500 24.8% Subtotal Operating Revenue 963, 135 1,011,200 1,101,500 1,277,900 0 1,277,900 26.4% Carryforward 0 105,800 18 I, 600 174,000 0 174,000 64.5 % Transfer (001) 0 285,200 285,200 138,400 12,600 151,000 -47.1% Transfer (194) 0 0 90,000 77,900 0 77,900 N/A Reimbursement (496) 0 24,000 24,000 34,700 0 34,700 44.6% Interest/Mist. 65,591 5,800 28,800 8,300 0 8,300 43.1% Revenue Reserve 0 (49,700) 0 (64,300) 0 (64,300) 29.4% Total Revenue 1,028,726 1,382,300 1,711,100 1,646,900 12,600 1,659,500 20.1% Permanent Positions Administration 5.0 3.0 3.0 3.0 0.0 3.0 0.0% Immokalee Reg. Airport 1.0 2.0 2.0 2.0 0.0 2.0 0.0% Everglades Airpark 1.0 1.0 1.0 1.0 0.0 1.0 0.0% Marco Isl. Exec. Airport 4.0 6.0 6.0 6.0 0.0 6.0 0.0% Permanent Positions 11.0 12.0 12.0 12.0 0.0 12.0 0.0% Part-Time Positions 1.5 1.0 1.0 1.0 0.0 1.0 0.0% Total FTE's 12.5 13.0 13.0 13.0 0.0 13.0 0.0% A-42 MRPORT AUTHORITY Proposed FY 00 Expanded Services Fund (495) DEPARTMENT AMOUNT DESCRIPTION Immokalee Regional Airport $8,500 Request for purchase of a used passenger vehicle for use as a courtesy vehicle for passengers. $3,500 Request for purchase of a striping machine used for painting stripes on runways at all three County airports. Reserves $600 Increase in Reserves TOTAL $12,600 Administration Requested but not recommended: Purchase of an airplane for airport safety inspections and timely and efficient transportation between the three airports located in Everglades City, Immokalee and Marco Island on a weekly basis. The airplane will also be used for attending meetings in Tallahassee, Orlando and other cities throughout Florida. Additionally, the airplane will be available to other county departments for aerial photography and assessments. The total cost is $91,500 (Capital $81,000 and Operating $10,500). A43 ELECTED OFFICIALS A-45 Property Appraiser (Cont.) Fund (060) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriation Unit Exp/Rev Budget Exp/Rev Service Service Budget Change Personal Services 2,311,517 2,573,900 2,567,100 2,777,400 116,200 2,893,600 12.4% 0pemting Expenses 577,871 468,600 460,600 405,100 250,000 655,100 39.8% Capital Outlay 120,128 5,000 5,000 5,000 50,000 55,000 1000.0% Charges Pal. by BCC 60,699 76,100 81,900 78,800 0 78,800 3.5% Reserves 0 0 0 0 0 0 N/A Total Appropriations 3,070,215 3,123,600 3,114,600 3,266,300 416,200 3,682,500 17.9% Revenues: Ind. Districts 282,505 319,200 294,300 309,200 39,600 348,800 9.3% Transfer - BCC 2,600,923 2,728,300 2,738,400 2,878,300 376,600 3,254,900 19.3% BCC Paid 60,699 76,100 81,900 78,800 0 78,800 3.5% Other Revenue 344,494 0 0 0 0 0 N/A Total Revenue 3,288,621 3,123,600 3,114,600 3,266,300 416,200 3,682,500 17.9% Gen. Fund Revenue 218,406 50,000 140,000 140,000 0 140,000 180.0% Permanent Positions 50 52 52 52 3 55 5.8% Expanded FY 99/00 - There is $116,200 budgeted for a Mapping Technician, a Programmer/Analyst, and a Computer Operator. There is $300,000 in costs associated with the initial development of a GIS system in Collier County. Costs include $250,000 in contracted services and $50,000 in equipment. A-46 PROPERTY APPRAISER Proposed FY 00 Expanded Services General/Constitutional Fund (060) DEPARTMENT AMOUNT DESCRIPTION Property Appraiser $116,200 Request is for a Mapping Technician, a Programmer/Analyst, and a Computer Operator. $300,000 Request is for $250,000 in contracted services and $50,000 in equipment associated with the initial development phase of a GIS system in Collier County. TOTAL $416~200 A-47 Supervisor of Elections (Cont.) Supervisor of Elections Fund (080) Fund Total FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 98/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriation Unit Exp/Rev Budget Exp/Rev Service Service Budget ChanSe Administration 721,110 823,200 834,600 822,100 63,100 885,200 7.5% Elections 351,644 503,700 500,600 398,700 204,300 603,000 19.7% Exp. Paid by BCC (001) 7,100 50,600 45,600 57,100 0 57,100 12.8% Reserves 0 0 0 0 0 0 N/A Total Appropriations 1,079,854 1,377,500 1,380,800 1,277,900 267,400 1,545,300 12.2% Revenues Transfers (001) 1,394,900 1,326,900 1,326,900 1,220,800 267,400 1,488,200 12.2% Exp. Paid by BCC (001) 7,100 50,600 45,600 57,100 0 57,100 12.8% 1,402,000 1,377,500 1,372,500 1,277,900 267,400 1,545,300 12.2% Less Election Revenues 131,140 56,100 4,400 18,800 0 18,800 -66.5% Transfers to (001) 322,147 150,000 250,000 250,000 0 250,000 66.7% Net Cost General Fund 948,713 1,171,400 1,118,100 1,009,100 267,400 1,276,500 9.0% Permanent Positions Administration 16.0 16.0 14.0 14.0 1.0 15.0 -6.3% Elections 1.0 1.0 1.0 1.0 0.0 1.0 0.0% Total 17.0 17.0 15.0 15.0 1.0 16.0 -5.9% Forecast FY 98/99 - There is a $5,000 savings forecast m expenses paid by the BCC for the rent of warehouse space. Current FY 99/00 - Expenses paid by the BCC will increase by $6,500 for additional general insurance. A contingency reserve was requested in the amount of $151,500 but was not budgeted due to the FY 00 Budget Policy stating Constitutional Officers reserves are to be budgeted in the BCC General Fund. Since turnover is low, no provision has been made for attrition. A-48 SUPERVISOR OF ELECTIONS Proposed FY 00 Expanded Services Fund (080) DEPARTMENT AMOUNT DESCRIPTION Administration $63,100 Request is for the administrative costs associated with holding an additional election date for the Presidential Preference Primary in March 2000. Costs include $21,400 for a Deputy Registrar, $21,300 for part-time employees, and $3,000 for overtime (all inclusive of benefits). These will facilitate processing all aspects of voter applications and updates and preparing voting machines and supplies for use in elections. Also included in this request is operating expenses of $17,400. Supervisor of Elections $204~300 Request is for costs associated with holding an additional election date for the Presidential Preference Primary in March 2000. Costs include $11,900 to increase the existing position's salary to reflect additional work hours required, and $109,300 for part-time pollworkers. Also included in this request is operating expenses of $83,100. TOTAL $267~400 A-49 Clerk of COHFtS Fund (010) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriation Unit Exp/Rev Budget Exp/Rev Senrice Service Budget Change Clerk of Board 1,489,510 1,561,500 1,537,600 1,577,500 20,500 1,598,000 2.3% Clerk of Circuit Court 1,356,907 1,618,900 1,479,600 1,622,900 72,900 1,695,800 4.8% Clerk of County Court 1,614,990 1,884,000 1,745,200 1,870,000 85,300 1,955,300 3.8% Recording/Recds Mgt 854,740 991,900 973,500 1,003,300 58,800 1,062,100 7.1% Admin/Intemal Audit 1,487,088 1,216,800 1,194,000 1,206,700 24,800 1,231,500 1.2% Management Info Systems 1,076,698 1,326,200 1,215,900 1,318,600 77,500 1,396,100 5.3% Exp Paidby BCC(001) 295,055 363,500 373,000 375,500 0 375,500 3.3% Excess Fees* 0 0 0 158,400 0 158,400 N/A Total Expenditures 8,174,988 8,962,800 8,518,800 9,132,900 339,800 9,472,700 5.7% Revenues Clerk Circuit Operations 407,443 403,200 403,700 416,700 0 416,700 3.3% Administration 4,912,632 3,190,500 4,049,600 3,419,900 192,800 3,612,700 13.2% Civil Court Billing 207,667 188,700 209,300 206,100 0 206,100 9.2% Microf~ming Services 567 600 4,100 1,900 0 1,900 216.7% MIS 155,922 189,000 181,900 153,200 0 153,200 -18.9% Clerk to Board 0 0 5,000 4,500 0 4,500 N/A Total Operating Revenue 5,684,231 3,972,000 4,853,600 4,202,300 192,800 4,395,100 10.7% Revenue Reserve 0 (198,600) 0 (210,100) (9,200) (219,300) 10.4% Net Operating Revenue 5,684,231 3,773,400 4,853,600 3,992,200 183,600 4,175,800 10.7% Transfer from Gen'l Fund 4,705,400 4,825,900 4,825,900 4,765,200 156,200 4,921,400 2.0% Exp Paid by BCC(001) 295,055 363,500 373,000 375,500 0 375,500 3.3% Total Revenue 10,684,686 8,946,100 10,052,500 9,132,900 339,800 9,472,700 5.9% Permanent Positions Clerk of Board 30.40 31.40 32.40 32.40 1.10 33.50 6.7% Clerk of Circuit Court 41.00 43.00 43.00 43.00 3.00 46.00 7.0% Admin/Internal Audit 19.30 19.30 18.80 18.80 1.00 19.80 2.6% Clerk of County Court 46.50 50.75 51.75 51.75 3.50 55.25 8.9% Recording/Reed Mgt 22.50 23.50 23.50 23.50 2.50 26.00 10.6% Management Info Systems 18.00 18.00 18.00 18.00 2.00 20.00 11.1% Total Positions 177.70 181.75 187.45 187.45 13.10 200.55 10.3% *Note- Due to reduced retirement rates, Clerk fees exceed appropriations; excess fees of $158,400 are budgeted. A-50 CLERK OF COURTS Proposed FY 00 Expanded Services Fund (010) DEPARTMENT AMOUNT DESCRIPTION Clerk of Board $10,300 Request is for .5 Minutes/Records Clerk due to the growth in workload. $10,200 Request is to convert a Fiscal Specialist position to full-time status. SUBTOTAL $20,500 Clerk of Circuit Court $52,200 Request is for 2 Court Clerk positions in the Circuit Civil section, which are funded by Clerk fees. $20,700 Request is for an Automation Coordinator in the Cimuit Felony section to develop and implement work procedures and systems to enhance the efficiency and effectiveness of the Division. SUBTOTAL $72,900 Clerk of County Courts $28,800 Request is for 1 Court Clerk position in the County Misdemeanor section. $24,800 Request is for 1 Court Clerk position in the County Traffic section. $31,700 Request is for 1.5 Court Clerk positions in the County Civil section. These expanded service requests are funded by a transfer from the General Fund. SUBTOTAL $85,300 Management Information $77,500 Request is for a Support Technician I and a System Systems Support Analyst. Principal projects include state mandated Child Support Enforcement and completion of the disaster recovery site in Immokalee to address repetitive comments made in the annual audit. This request is funded by a $35,600 transfer from the General Fund and the remaining balance is funded by Clerk fees. A-51 CLERK OF COURTS (Cont.) Proposed FY 00 Expanded Services Fund (010) DEPARTMENT AMOUNT DESCRIPTION Recording &Records $58,800 Request is for an additional 2.5 Clerk positions for Management the Recording Department, and are funded by Clerk fees. Administrative &Internal $10,700 Request is to convert an existing Internal Auditor Audit position to full-time stares and is funded by an $8,200 transfer from the General Fund and the balance from Clerk fees. $14, 100 Request is for a .75 Cashier position to cover peak periods in the Cashiering section, and is funded by an $8,000 transfer from the General Fund and the balance from Clerk fees. SUBTOTAL $24,800 TOTAL $339,800 A-52 A-53 Sheriff's Agency Sheriff's Fund (040) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 Actual Adopted Forecast Current Expanded Total Budget Appropriation Unit Exp/Rev Budget Exp/Rev Service Service Budget Change Law Enforcement 38,618,304 40,578,000 41,589,000 41,537,000 3,283,900 44,820,900 10.5% Detention/Corrections 13,870,621 14,421,500 14,483,700 14,185,300 256,400 14,441,700 0.1% Judicial (Bailiffs) 1,140,726 1,200,400 1,301,900 1,276,000 176,900 1,452,900 21.0% Reserves 0 0 0 0 0 0 N/A BCC Paid 922,977 1,609,600 1,609,600 1,930,900 0 1,930,900 20.0% Total Appropriations 54,552,628 57,809,500 58,984,200 58,929,200 3,717,200 62,646,400 8.4% Revenue Transfer-General Fund (001) 46,849,000 50,108,600 50,321,000 56,998,300 3,717,200 60,715,500 21.2% TransferMSTD General (111) 6,780,800 6,091,300 6,891,300 0 0 0 -100.0% Expenses Pd. by BCC 922,977 1,609,600 1,609,600 1,930,900 0 1,930,900 20.0% Total Revenue 54,552,777 57,809,500 58,821,900 58,929,200 3,717,200 62,646,400 8.4% Less Assigned Revenue in General Fund: Law Enforcement 933,227 749,000 824,600 878,000 0 878,000 17.2% Detention/Corrections 61,882 8,000 4,000 4,000 0 4,000 -50.0% MSTD General Fund 66,086 54,500 53,300 0 0 0 -100.0% Marco Island Contract 0 0 800,000 0 0 0 N/A Transfer to General Fund 0 0 0 0 0 0 N/A Net Cost General Revenue 53,491,582 56,998,000 57,140,000 58,047,200 3,717,200 61,764,400 8.4% Permanent Positions: Law Enforcement 633 665.8 666.0 666.0 44.0 44.0 -93.4% Detention/Corrections 192 189.2 190.0 190.0 5.0 5.0 -97.4% Judicial (Bailiffs) 23 23.00 23.0 23.0 7.0 7.0 49.6% Total Positions 848 878.0 879.0 879.0 56.0 56.0 -93.6% A-54 SHERIFF Proposed FY 00 Expanded Sen'ices General/Constitutional Fund (040) DEPARTI~IENT AMOUNT DESCRIPTION Law Enforcement $950,300 Request is for 11 Investigator positions and 1 Secretary. Costs include operating expenses and capital outlay. $404,900 Request is for 9 Deputies formerly funded by grants. Costs include operating expenses. Funding is pro-rated for nine months of the fiscal year and based on ~vhen the grant expires. $598,500 Request is for capital equipment required for 19 grant funded COPS positions. These positions will be allocated as follows: 4 North Naples, 6 Golden Gate, 6 East Naples, 2 Immokalee, and 1 Agriculture. Costs include equipped vehicles, radio equipment and mobile data consoles. $687,800 Request is for 7 Road and 1 Crime Prevention Deputies. The road patrol deputies will be allocated as follows: 2 North Naples, 2 Golden Gate, and 3 in East Naples. Costs include operating expenses. and capital outlay. $202,800 Request is for 3 Community Service Deputies. Two of these positions will be assigned to North Naples and 1 position to Golden Gate. Costs include operating expenses, and capital outlay. $360,000 Request is for 5 Dispatcher positions, and 5 Teletype positions to be in compliance with FCIC. Costs include operating expenses. $35,500 Request is for a Human Resources Technician. Costs include operating expenses and computer equipment. $44,100 Request is for a Communications Technician to be assigned to Fleet for radio installations. Costs include operating expenses and computer equipment. A-55 SHERIFF (Cont.) Proposed FY 00 Expanded Services General/Constitutional Fund (040) DEPARTMENT AMOUNT DE SCRIPTION Requested but not recommended: The Sheriffs budget request was predicated on providing road patrol services to the City of Marco Island at a cost $1,126,800. However, the City of Marco Island intends to have a fully implemented City law enforcement presence by January 1, 2000. As a result, the Sheriffs budget was reduced by $845,100 representing ¼ of the cost to provide service to Marco Island. SUBTOTAL $3,283,900 Detention and Corrections $256,400 Request is for 5 additional certified Correctional Officers. Three will be stationed at the Naples Jail Complex for court holding cells, and 2 will be stationed at the Immokalee Stockade. Costs include operating expenses and purchase of radios. Judicial (Bailiffs) $176,900 Request is for 3 additional Bailiffs who will be required as a result of the 4th Floor Courthouse expansion. Costs include operating expenses, and purchase of radios. Requested but not recommended: Four Bailiffs were requested to provide security in the Courthouse. This would consist of 1 Bailiff on each floor where court hearings are conducted (floors 2 through 5). Costs include personal services of $177,800, operating expenses of $34,000, $92,000 for vehicles, $24,000 for radios, and $11,100 in data processing equipment. The total cost is $338,900. Vehicles-S69,000 and data processing equipment- $8,400 for the 3 Bailiffs required as a result of the 4th Floor Courthouse expansion. The total cost is $77,400. TOTAL $3,717,200 A-56 CAPITAL IMPROVEMENT PROGRAM A-57 County-Wide Capital Improvements Fund (301) Appropriations: Adopted Amended FY 99 New Requested Project Description Budget Budget Forecast C , ard Fundm~ Budget 80180 PC Modernization 0 127,980 128,000 (20) 20 0 TBD Computer System Network Impr. 0 0 0 0 107,500 107,500 00000 800 MHz Radio Acquisition 0 0 0 0 325,000 325,000 01800 Human Resources Mgmt System 153,400 188,895 188,900 (5) 5 0 66075 East US 41 Landscaping 0 18,373 18,400 (27) 27 0 TBD EMS Helicopter Replacement 0 0 0 0 253.600 253,600 00000 110,000 110,000 110,000 0 0 0 Subtotal: 263,400 445,248 445,300 686, I00 01801 Space Allocation Study 0 1,712 1,700 12 (12) 0 80043 Governrnent Center DRI 203,700 203,700 203.700 0 300.000 300,000 80529 Courthouse 4th Floor Renovation 2,485,000 2,485,000 2,485,000 0 0 0 80112 Medical Examiner Facility 0 16.718 16,700 18 (18) 0 80515 New County Maint Facility 0 3,373 3,400 (27) 27 0 80096 Domestic Animal Svcs Facility 859,300 2,596.245 2,596.200 45 69,955 70,000 TBD Horticulture Learning Ctr Ph. I 0 0 0 0 0 0 00107 Parks Facilities Improvements 25,500 25,500 25,500 0 27,500 27,500 80005 Chiller Plant Expansion 0 358,498 358,500 (2) 2 0 80161 Reroofing Projects 64,800 69,237 69,200 37 136,963 137,000 80162 New Air Conditioners 112,300 124,300 124,300 0 174,000 174,000 80172 Building J Renovations 98,000 98,000 98,000 0 83,900 83,900 80197 Building W Expansion 0 50,063 50, 100 (37) 37 0 80503 Campus Improvements 8,800 8,800 8,800 0 0 0 80504 Environmental Improvements 42,000 35,940 35.900 40 48,660 48,700 80505 Lighting Retrofits 285, 100 285, 100 285,100 0 0 0 80506 Government Building Paint Plan 114,900 114,900 114,900 0 204,200 204,200 80508 Electrical Repairs &Replacements 80,200 80,200 80.200 0 177,400 177,400 80520 Building C Renovations 86,000 90,800 90,800 0 135,000 135,000 80521 Courthouse Repairs 7,000 7,000 7,000 0 18,000 18,000 80522 Sewer Upgrades 55,000 70,000 70,000 0 0 0 80525 General Building Improvements 130,200 186,290 186.300 (10~ 234,510 234,500 80530 Development Svcs Bldg Improve. 0 0 0 0 26,000 26,000 Subtotal: 4,657,800 6,911,376 6,911.300 1,636,200 A-58 County-Wide Capital Improvements Fund (301) (Cont.) Adopted Amended FY 99 ' New Requested Sheriffs Projects: Budget BudSet Forecast C ard FundmS BudSet 80003 Collier County Jail -- Naples 1,950,600 1,950,600 0 0 0 0 80196 Immokalee Jail Renovation 4,805,200 4,805,200 0 0 0 0 80524 Sheriffs Office Administration Bldg 6,500,000 6,500,000 0 0 0 01007 Records Imaging - Phase II 268,000 268,000 268,000 0 500,000 500.000 TBD Mobile Data Infrastructure 0 0 0 0 0 0 01010 S.O. Building Improvments 160,400 165,020 165.000 20 99,980 100.000 01006 Phone &Data Lines Upgrade/Repl 176,600 355,787 355,800 ( 13) 100,013 100.000 TBD Communications Equipment Repl 80,000 80,000 80,000 0 100,000 100.000 TBD Photo Lab 0 0 0 0 85,000 85.000 01011 Computer Modernization/Recovery 100,600 100,600 100,600 0 0 0 TBD Vehicle Recovery 0 0 0 0 0 0 TBD Orange Tree Substation 0 0 0 0 0 0 TBD E. Naples/Golden Gate Subst Exp 0 0 0 0 0 0 TBD N. Naples Substation Expansion 0 0 0 0 0 0 TBD Jail X-Ray Machines 75,000 75,000 75,000 0 0 0 01009 Relocation of Bureaus 255,000 255,000 255,000 0 0 0 01008 Year 2000 Software 570,000 570,000 570,000 0 0 0 TBD Computer Aided Dispatch System 825,000 876,348 876,300 48 (48) 0 Subtotal: 9,266,400 16,001,555 9,245,700 885,000 Reserve for Contingencies 386, 100 44,410 0 169.000 Reserve for Capital Asset Maint 750.600 Reserve for Capital Outlay 0 Total Appropriations: [ 14,573,700ll 23,402,5891[ 16,602300 ] I 4,126.900 Revenue: Adopted Amended FY 99 Requested Description Budget Budget Forecast Budget Transfer Property Taxes (001) 4,748,900 6,198,900 6,198,900 2,613.800 Transfer Property Taxes ( 111 ) 0 0 0 91.600 Transfer Community Dev (113) 0 0 0 55,700 Transfer Utilities (408) 0 0 0 147,200 Transfer Solid Waste (470) 0 0 0 11,700 Transfer PWED (589) 34,400 34,400 34,400 0 Bond/Loan Proceeds 6,667,500 13,167,500 6.500,000 0 Interest/Grants/Miscellaneous 215,700 215,700 215,700 250,000 Carry Forward 2,918,000 3,796,889 4,622,700 969.400 Revenue Reserve ¢ 10.800)l (10,800) 0 (12.500) TotalRevenue: [ 14,573,700Jl 23,402.589 l[ 17,571,700] [ 4,126,900I A-59 County-Wide Capital Improvements Fund (301) (Cont.) Projects Requested but Not Recommended Adopted Amended FY 99 New' Requested Budget Budget Forecast C ard Fundin~ Budget TBD Horticulture Learning Ctr Ph. I 0 0 0 0 51.900 51,900 TBD Mobile Data Infrastructure 0 0 0 0 2,500.000 2,500,000 01011 Computer Modernization/Recovery 100,600 100,600 100,600 0 640.000 640,000 TBD Vehicle Recovery 0 0 0 0 1,000,000 1,000,000 TBD Orange Tree Substation 0 0 0 0 1,325.000 1,325,000 TBD E. Naples/Golden Gate Subst Exp 0 0 0 0 1,000.000 1,000,000 TBD N. Naples Substation Expansion 0 0 0 0 500.000 500,000 01007 Records Imaging - Phase II 268,000 268,000 268,000 0 500,000 500,000 80521 Courthouse Repairs 7,000 7,000 7,000 0 157.500 157,500 80172 Building J Renovations 98,000 98,000 98,000 0 300.000 300,000 Total 7,974.400 7,974,400 A-60 FY 99/00 PARKS CAPITAL - FUND 306 Appropriations: County Parks: FY 99 FY 99 FY 00 FY 00 Adopted Amended FY 99 Available New FY 00 Proj # Project Name Budget Budget Forecast CF Funding Requested 00000 Misc Non Project 24,956 25,000 (44) 44 80028 Vineyards Park 80,000 80,000 80,000 - 80037 South Naples Park 119,600 119,600 119,600 - 80064 Immokalee Comm Park 50,000 50,000 50,000 80067 Bayview Park Sewer 61,000 61,000 - 78,500 78,500 80076 Caxambas Dock/Seawall Rep 65,000 65,000 - 80081 Sugden Park 123,705 123,700 5 (5) 80083 Playground Equipment 100,000 101,600 101,600 - 80088 Tigertail Park 15,000 15,000 15,000 - 80095 Bluebill Park 50,000 50,000 50,000 - 80098 EN Comm Pk Improvements 35,000 35,000 35,000 - 80601 S Immk Basketball Ct Repair 25,000 25,000 25,000 - 00000 Everglades City Skate Rink 50,000 50,000 50,000 - 80600 Exotics Removal 100,000 100,000 100,000 - 113,000 113,000 TBD Pelican Bay - 66,600 66,600 TBD Max Hasse Community Park - 70,000 70,000 TBD Golden Gate Aquatic/Fitness - 50,000 50,000 Subtotal County Parks: 624,600 900,861 900,900 378,100 City of Naples: 80605 Beach Ends 25,000 25,000 25,000 - 25,000 25,000 00000 The Edge Skate Park 15,000 15,000 - - 80074 Naples Landing Phase III 25,000 25,000 25,000 - - 80074 Naples Landing Phase IV - 18,000 18,000 Subtotal City of Naples: 50,000: 65,000 65,000 43,000 Total Project Expenses: 674,600 965,861 965,900 I 421,100 Transfer Debt Service - Reserves 211,400 74,800 525,200 TOTAL APPROPRIATIONS: 886,000 1,040,661 965,900 ] 946,300 I FY 99 FY 99 Adopted Amended FY 99 FY 00 REVENUES Budget Budget Forecast Requested Transfer from (001 ) FL Boating Improvement Prog 100,000 100,000 100,000 100,000 Boat Fees (Reg., Title, etc.) 50,000 50,000 175,000 175,000 Transfer from (589) 68,700 68,700 68.700 Interest 35,300 35,300 52,000 35,000 Carry Forward 641,300 795,961 1,222,000 651,800 Revenue Reserve . (9,300.) (9,300) (15,500) TOTAL REVENUE: 886,000 1,040,661 1,617,700 946,300 A-61 Collier County Library Department Library Capital Improvement Fund (307) FY 97/98 FY 98/99 FY 98/99 FY 99/00 % Actual Adopted Forecast Proposed Budget Appropriations Exp/Rev Budget Exp/Rev Budget Chan~e Capital Expenses 235,708 259,700 259,700 289,000 11.3% Reserves 0 0 0 4,500 N/A Total Appropriation: 235,708 259,700 259,700 293,500 13.0% Revenues Transfer from (001) 240,000 259,700 259,700 289,000 11.3% Interest/Misc. 891 0 700 0 N/A Carry Forward ( 1,432) 0 3,800 4,500 N/A Grant Rev 0 0 0 0 N/A Revenue Reserve 0 0 0 0 N/A Total Revenue: 239,459 259,700 264,200 293,500 13.0% FY 00 Library Capital Ad Valorem Funding Requests: FY 98/99 FY 99/00 Forecast Requested Electronic Database Costs 9,700 10,000 Library Pubs. &Periodicals 56,600 57,000 Library Pubs. - A/V & Non-Book 25,000 26.000 Library Pubs - Microforms 3,400 4,000 Books, Pubs. &Subscriptions 0 0 Books, Pubs. &Library Materials 165,000 192.000 Tot al: 259,700 289,000 A-62 Museum Improvement Fund (314) FY 98/99 FY 98/99 FY 99/00 Adopted Forecast Adopted Appropriations Budget Exp/Rev Budget Digital Imaging Workstation 0 0 60,000 Subtotal: 0 0 60,000 Reserves 0 0 3,000 Total Appropriations: 0 0 63,000 Transfer from (001) 0 0 63,000 Historical Preservation Grant 0 0 0 Interest/Misc. 0 0 0 Carry Forward 0 0 0 Revenue Reserve 0 0 0 Total Revenue: L o l I o l I 63,000] A-63 Stormwater Management Capital (325) Appropriations: FY 99 FY 99 FY 00 FY 00 Project Adopted Amended FY 99 Project New Requested Number Project Budget Forecast Carryforward Funding Budget 31403 Naples Park Drainage Project 0 700 700 0 0 0 31005 Gordon River Master Plan 474,000 265,386 265,400 (14) 435.614 435,600 31203 Imperial West/FP&L Ditch 0 12, 170 12,200 (30) 30 0 31213 Rookery Lane Ditch 0 0 0 0 0 0 31408 Melody Lane Culvert 0 0 0 0 0 0 31702 Suniland Structure Replacement 0 26,880 26,900 (20) 20 0 31407 Manatee School Ditch Relocation 0 0 0 0 0 0 31803 Gateway Triangle Master Plan 0 0 0 0 0 0 31108 Lely Pumping Station 0 147 100 47 (47) 0 31101 Lely Canal W/Spreader &Structure 4,951,300 840,253 840,300 (47) 3,645,547 3,645,500 31009 Harvey Basin Master Plan 211,400 195,590 195,600 (10) 154,410 154,400 31012 Belle Meade Master Plan 200,000 150,000 150,000 0 200,000 200,000 31014 N. Livingston Rd Basin Master Plan 0 30,000 28,000 2,000 48,000 50,000 31212 Wiggins Pass Outfall 182,900 107,940 108,000 (60) 280,060 280,000 31803 Gateway Triangle Improvements 153,000 415,000 415,000 0 447,000 447,000 31801 Lake Kelly Structure Replacement 93,000 101,000 101.000 0 13,000 13,000 31107 Avalon School Drainage 56,000 40,000 40,000 0 69,000 69,000 31302 Sperling Court Storm Drain 47,000 59,744 59,800 (56) 56 0 31401 U.S. 41 Outfall Swales 226,000 31,100 31,100 0 209,000 209,000 31010 Haldeman/Rock Creek Mapping 0 40,000 40,000 0 0 0 31105 Lely St. Andrews Berm/Swale 0 0 0 31011 Haldeman Creek Basin Restoration 0 0 0 31701 SR-29 Culvert Upgrades 0 91,100 91,100 0 4,000 4,000 31804 Palm Street Outfall Ditch 0 60,000 60,000 0 0 0 TBD Austrailian Pine Removal 200,000 200,000 200,000 0 200,000 200,000 00000 Non-Motor Pool Capital Recovery 85,000 85,000 85,000 0 85,000 85,000 00000 Dump Truck 40,000 37,800 37,800 0 0 0 00000 Engineering Fees 2,000 2,000 2,000 0 0 0 00000 Printing - Outside Vendors 1,200 1,200 1,200 0 0 0 Total Capital Expenses: 6,922,800 2,793,010 2,791,200 5,792,500 Reserves 99,900 481,400 0 298,500 Total Appropriations: 7,022,700 3,274,410 2,791,200 6.091,000 Revenue: Transfer from General Fund (001 ) 897,300 897,300 897,300 1.213,300 Tfr. from MSTD Gen. Fund (111) 98,000 98,000 98,000 0 Tfr. from OCPM (589) 55,000 55,000 55,000 5,200 Contributions 993,300 0 0 210,000 Grants 1,257,000 175,500 175.500 1,508,800 Loan Proceeds 2,267,400 0 0 2,582,000 lnteresffMiscellaneous 76,000 100,000 100,200 ! 00,000 Carry Forward 1,382,500 1,952,410 1,952.400 487,200 Revenue Reserve (3,800) (3,800) ( 15,500 Total Revenue: 7,022,700 3,274,410 3,278.400 6.091,000 Reductions to Balance Budget Requested Recommend Reduction 31012 Belle Meade Master Plan 250,000 200,000 50,000 TBD Austrailian Pine Removal 250,000 200,000 50,000 Reserves 379,600 279,600 100,000 Total Reduction 200,000 A-64 Airport Authority Capital Fund (496) Immokalee Regional Airport FY 99 FY 99 FY 00 FY 00 FY 00 Adopted Amended FY 99 Available Gen. Fund Requested Project Project Name Budget Budget Forecast Carryforward Match Budget 33308 Apron Expansion (IRA) 0 868 900 (32) 33319 Scrub Jay Implementation (IRA) 0 73,917 73,900 17 33321 Scrub Jay Plan Study 0 138 100 38 33322 Obstruction Removal Design (IRA) 0 80,638 80,600 38 33323 Rehabilitate Beacon 0 159 200 (41) 33324 Joint Seal Burst Pad 0 27 0 27 33357 Auto. Weather. Obs. Sta. (IRA) 0 97,210 97,200 10 33358 T-Hangars (IRA) 0 264,789 264,800 (I 1) 33359 Manufacturing Incubator (IRA) 0 1,165,742 1,165,700 42 33369 Runway 18-36 Lighting (IRA) 300,000 274,000 274,000 0 33370 Airfield Signage (IRA) 50,000 50,000 50,000 0 TBD Bulk Storage Hangar 0 375,000 TBD Conceptual ERP Permit 70,000 350,000 TBD Apron Expansion (IRA) 70,000 350,000 TBD Mitigate Wetlands 11,000 55,000 TBD Drag Strip Support Fac. & Util. 0 250,000 TBD Manufacturing Incubator Ph II 0 1,389,000 TBD Emergency Airport Generator 0 0 Subtotal: 350,000 2,007,488 2.007,400 88 151.000 2,769,000 Everglades Airport 33350 Taxiway 0 5,597 5,600 (3) 0 0 33361 Terminal Grass Tie-Down (EA) 0 ~ 17,255 17,300 (45) 0 0 33362 Obstruction Removal Ph II (EA) 0 57,700 57,700 0 0 0 33366 Land Acqusition (EA) 250,000 250,000 250,000 0 0 0 33367 North Airerat~ Turnout (EA) 42,000 42,000 42,000 0 0 0 33368 South Aircraf~ Turnout (EA) 100,000 100,000 100,000 0 0 0 33380 Rotating Beacon (EA) 0 4,430 4,400 30 0 0 33381 Mangrove Cutting (EA) 0 25,064 25.100 (36) 0 0 Subtotal: 392.000 502.046 502,100 (54) 0 0 Marco Island Executive Airport 33352 Terminal Building (MIEA) 0 13,793 13,800 (.7) 0 0 33354 T - Hangars (MIEA) 0 217,646 217,600 46 0 0 33355 Contaminated Soil Removal (MIEA) 0 99,407 99.400 7 0 0 33371 Approach Clearing (MIEA) 0 296,466 296,500 (34) 0 0 33372 Apron Seal Coat 0 0 0 0 0 0 33373 T-Hangars (MIEA) 0 1,091 1,100 (9) 0 0 33375 Land Acquisition (MIEA) 150,000 150,000 150,000 0 0 0 33376 Parallel Txwy Env. Mitigation (MIE.~ 100,000 100,000 100,000 0 0 0 33377 Runway Lights/Elec. Vault (MIEA) 200,000 200,000 200,000 0 0 0 33378 Surcharge Txwy/Apron Ph I (MIEA) 550,000 550,000 550,000 0 0 0 33379 Relocate Segmented Circle (MIEA) 7,000 7,000 7,000 0 0 0 TBD Mitigation Phase I 0 0 TBD Vegetation Management 0 0 TBD Runway Resurfacing 55,000 275,000 TBD Grant Acquisition Study 1,300 6,500 TBD Parking Lot Overlay & Landscape 12,000 60,000 Subtotal: 1,007,000 1.635,403 1,635.400 3 68300 341,500 Tota! Project Expenditures: I 1,749,000 [I 4,144,937 II 4.144,900 II 37 II 219300 [I 3'110'500l A-65 Airport Authority Capital Fund (496) AIRPORT CAPITAL SUMMARY FY 99 FY 99 FY 00 FY 00 FY 00 Adopted Amended FY 99 Available Gem Fund Requested Appropriations Budget Budget Forecast Carryforward Match Budget Project Expenses 1,749,000 4,144,937 4,144,900 37 219,300 3,110,500 Debt Service (Principal) 375,000 375,000 375,000 0 330,000 Debt Service (Interest/Mist.) 99,300 99,300 70,000 29,300 65,000 65,000 Transfer (495) 0 0 0 0 Reserve for Debt Service 1,324,200 2,328,200 2,328,200 1,217,100 Reserve for Capital Outlay 87,500 2,833 2,833 158,800 158,800 Total Expenses: 3,635,000 6,950,270 4,589,900 2,360,370 443,100 4,881,400 Revenue Transfer (001) 611,600 611,600 611,600 200,000 Transfer (301) 0 0 0 0 Grant Reimbursements 1,324,200 2,549,607 2,549,600 2,891,200 Loan Proceeds 1,324,200 2,218,200 0 339,000 Contributionsfin-kind Services 0 38,000 38,000 0 Interest 0 0 50,000 0 Carry Forward 375,000 1,532,863 2,791,900 1,451,200 Revenue Reserve 0 0 0 0 Total Revenue: 3,635,000 6,950~270 6,041,100 0 0 4,881,400 Transfer (001} (001 ) Match 219,300 Debt Interest 65,000 Capital Reserves 158,800 443,100 Less available Carryforward (243,100) Net Transfer Required 200,000 Projects Not Recommended for Fundins, FY 99 FY 99 FY 00 FY 00 FY 00 Adopted Amended FY 99 Available Gen. Fund Requested Budget Budget Forecast i CanTforward Match Budget *TBD Bulk Storage Hangar 75,000 0 *TBD Drag Strip Support Fac.& Util. 125,000 0 *TBD Manufacturing Incubator Ph It 139,000 0 TBD Emergency Airport Generator 20,000 100,000 TBD Mitigation Phase I 50,000 250,000 TBD Vegetation Management 50,000 250,000 Total 459,000 600,000 The County Administrator recommends approval of these projects using a commercial loan for the match portion rather than the General Fund. A-66 MSTD (111) B-1 MSTD General Fund (111) Expense Summary. FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 icy 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriations Exp/Rev Budget Exp/Rev Sen'ice Service Budget Change Operating Departments: FireControl/Forestry 19,485 12,400 12,400 16,500 0 16,500 33.1% Parks & Recreation - Immokalee 1,396,482 1,731,100 1,700,000 1,772.300 31.300 1,803.600 4.2% Cable 'IV 430,1 I0 61,800 63,900 67,400 0 67,400 9.1% Comm. Dev. Admin. 152,605 162,100 170,700 160200 0 160200 -12% Housing &Urban Imp. 0 15,700 0 0 0 0 -I00.0% Graphics & Tech 199,778 192,400 198,700 201.900 0 201.900 4.9% Long Range Planning 521,548 542,500 686,800 642200 250,000 892200 64.5% Code Enforcement 1,181,935 1,525,700 1,506,400 1,487,000 42, 100 1,529, 100 02.% Parks &Recreation - Naples* 0 0 0 6,334200 380,400 6,714,600 N/A OtherGen. Admin. 217,100 329,900 329,900 415200 0 415200 25.9% Natural Resources 0 0 0 358.400 25,000 383.400 N/A Sub-Tolal 4,119,043 4,573,600 4,668,800 11,455,300 728,800 12,184,100 166.4% Reserves: Capital Outlay 0 0 0 600,000 0 600,000 N/A Contingencies 0 594,200 0 580,700 36,400 617, 100 3.9% Cash Flow 0 250,000 0 250,000 0 250,000 0.0% Attrition 0 (118,200) 0 (266,100) 0 (266,100) 125.1% Impact Fee Waivers 0 784,700 0 IIM200 0 104,200 -86.7% Reserve-Computer Cap ihal Rec. 0 0 0 12, 100 0 12.100 N/A Salary Adjustments 0 44,300 0 232,900 0 232.900 425.7% Sub-Total Reserves 0 1,555,000 0 1,513,800 36,400 1,550,200 -0.3% Transfers/Contributions Other Funds MPO 1,800 7, 100 0 3.700 0 3.700 -47.9% Comm. Development 57,800 57,800 57,800 57,800 0 57,800 0.0% General Fund 125,300 125,300 i 08,800 148200 257,000 105.1% Loan - Road MS'I'D (102) 52,500 0 0 0 0 0 N/A GGCC (130) 0 0 0 160.900 0 160,900 N/A Water Mgmt. (325) 729,600 98,000 98,000 0 0 0 -100.0% Fac. M grnt. (301) 0 0 0 91,600 0 91,600 N/A Elected Officials: SherifP* 6,780,800 6,091,300 6,891,300 0 0 0 -t00.0% Property Appraiser 81,184 88,500 89,300 87,800 0 87,800 -0.8% Tax Collector 232,332 227,300 221,300 212.600 16.100 228.700 0.6% Sub-Total Transt~rs 7,936,016 6,695,300 7,483,000 723,200 164,300 887,500 -86.7% TotaiAppropriations 12,055,059 12,823,900 12,151.800 13.692300 929,500 14,621.800 14.0% Notes: *Parks operations shifted from the General Fund. ** Sheriff costs shifted 100% to General Fund. B-2 MSTD General Fund (111) Revenue Summary FY 97/98 FY 98/99 FY' 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current E:~anded Total Budget Revenues Exp/Rev Budget Exp/Rev Service Service Budget Change Ad Valorera Taxes 8,130,656 7,724,300 7,449,100 7,061.800 800,800 7,862,600 1.8% Occupational Licenses 480,117 475,000 475,000 475.000 0 475,000 0.0% Sheriff Revenues 66,086 54,500 58,300 0 0 0 -100.0% Cable Franchise Fees* 1,578,043 1,500,000 1,430,000 1.475.000 0 1,475,000 -1.7% CDD Application Fees 0 0 0 0 0 0 N/A Interest/Miscellaneous 241,835 155,000 165,000 165.000 0 165,000 6.5% Sub-Total 10,496,737 9,908,800 9,577,400 9,176.800 800,800 9,977,600 0.7% Departmental Revenue 460,205 325,700 405,700 1.472.400 112,000 1,584,400 386.5% Revenue Reserve 0 (515,500) 0 (532.400) (45,600) (578,000) 12.1% Sub-Total I0,956,942 9,719,000 9,983,100 10,116.800 867,200 10,984,000 13.0% Other Sources: Carryforward 3,064,400 2,158,300 2,779,100 2357.000 0 2.357,000 92% Transfer-General Fund 142,500 135,600 135,600 165.900 0 165,900 22.3% Transfer (113) 565,400 723,500 723.500 1,017,400 62,500 800,000 10.6% Transfer- P.A./T.C. 62,410 35,000 35,000 35.000 0 35,000 0.0% Transfer-(104) 42,500 52,500 52,500 0 0 0 -100.0% Marco Island S.O. Contract 0 0 800,000 0 0 0 N/A Transfer (669) 0 0 0 0 0 0 N/A Sub-Total Other Sources 3,877,210 3,104,900 4,525,700 3,575300 62,500 3357,900 8.1% Total Fund Revenues 14,834,152 12,823,900 14,508,800 13,692.100 929,700 14,621,800 14.0% Permanent Positions Parks & Recreation- Immo'kalee 28 28 28 28 0 28 0.0% Parks & Recreation- Naples 0 O 0 68 6 74 N/A Cable TV 3 1.0 1.0 1.0 0.0 I 0.0% Conam. Dev. Admin. 2 2 2 2 0 2 0.0% Housing 0 0 0 0 0 0 N/A Graphics & Tech 4 4 4 4 0 4 0.0% Long 'Range P'lanning 8 8 9 9 0 9 12.5% Code Enforcement 22 26 26 26 1 27 3.8% 0 0 0 5 0 0 N/A Total Positions 67 69.0 70.0 143.0 7.0 145.0 110. 1% Notes: *Decrease in cable franchise revenues results ti-om Marco Island incorporation. B-3 PUBLIC SERVICES B-4 PUBLIC SERVICES Proposed FY 00 Expanded Services MSTD General Fund (111) DEPARTMENT AMOUNT D E S CRIPTION Parks & Recreation - Naples $44,000 Request is for an Operations Coordinator to perform research and statistical analysis for presentations to the BCC, ensure deadlines are met, maintain fiscal responsibility and technology commitments, and provide day-to-day administrative support to the department director. $31,600 Request is for a Maintenance Worker II position at the Bluebill site, and to assist at Pelican Bay and other locations. $61,500 Request is for 2 Maintenance Worker II positions at Sugden Park. $31,600 Request is for a Maintenance Worker II position to maintain the athletic fields at Max Hasse Park and Corkscrew Elementary School. $61,500 Request is for a Maintenance Worker II position to provide in-house expertise for irrigation emergencies and repairs, and a vehicle for traveling from site to site. · $2,400 Request is for Lifeguards at Sugden Park during Spring Break. $9,200 Request is for purchase of fitness equipment for Veterans Park facility. $7,000 Request is to provide recreational programming at Max Hasse Park. Costs are offset by $6,000 in revenue. $9,000 Request is to provide additional programming resources at Eagle Lakes Community Park. Costs are offset by $9,000 in revenue. $13,100 Request is to purchase exercise equipment for the Golden Gate Fitness Center. B-5 PUBLIC SERVICES (Cont.) Proposed FY 00 Expanded Services MSTD General Fund (111) DEPARTMENT AMOUNT DESCRIPTION Parks &Recreation - Naples $6,500 Request is for funds to show movies to the public (Cont.) on the lawn. Costs are offset by $2,000 in revenue. $39,000 Request is to provide a county-wide 44 of July celebration at Sugden Regional Park. The celebration would include a fireworks display, entertainment, children's activities, and food vendors. This event would produce $1,500 in revenue from food sales. $7,100 Request is to provide yoga and aerobics at the Golden Gate Fitness Center. This program would provide $7,200 in revenue. $11,000 Request is for funds to provide a Handicap/Special Needs program for children. Costs are offset by $2,500 in revenue. $34,700 Request is for funds to provide a county-wide Countryfest which will include national performers, full-scale camival, arts and crafts vendors, and a chili and wing cook-off. Costs are offset by $9,900 in revenue. $5,600 Request is for purchase of communications equipment and operating costs of a vehicle for the North District that is being purchased from the Impact Fee Fund. $5,600 Request is for purchase of communications equipment and operating costs of a vehicle for the Central District that is being purchased from the Impact Fee Fund. SUBTOTAL $380,400 Parks &Recreation - $16,300 Request is for purchase of used 43 passenger bus Immokalee for transporting athletic and recreation program participants. B-6 PUBLIC SERVICES (Cont.) Proposed FY 00 Expanded Services MSTD General Fund (111) DEPARTMENT AMOUNT DESCRIPTION $15,000 Request is for purchase of additional maintenance equipment to properly maintain the park and athletic fields in Immokalee. Costs will be offset by 56,800 of additional revenue in summer school and aRer school registration fees. SUBTOTAL $31,300 TOTAL $411 ~700 B-8 PUBLIC SERVICES Proposed FY 00 Expanded Services Fund (130) DEPARTMENT AMOUNT DESCRIPTION Golden Gate Community $18,800 Request is to provide bus transportation for the Center after-school, holiday and summer camp programs. $7,500 Request is for installation of a hanging audio visual system in the auditorium. $3,100 Request is for purchase of a computer and connection to the county network. Reserves $1,800 Increase in Reserves for Contingencies Requested but not recommended: Upgrade a part-time Program Leader I position in the after school program to a full-time position in order to develop consistent high quality programs for the growing number of children that use the program. Total cost is $17,800 with no cost to the MSTD General Fund. TOTAL $31,200 B-10 B-11 COMMUNITY DEVELOPMENT & ENVIRONMENTAL SERVICES B-12 B-13 COMMUNITY DEVELOPMENT & ENVIRONMENTAL SERVICES DIVISION Proposed FY 00 Expanded Services MSTD General Fund (111) DEPARTMENT AMOUNT DESCRIPTION Comprehensive Planning $250,000 Request is for professional planning, architecture, and design services to be used in support of the Select Committee on Community Character for preparation of the Community Character Plan for Urban and Rural areas. Building permit and development revenue fees will fund 25% of this special project. Code Enforcement $36,100 Request is for a Customer Services Representative II position to handle the significant increase in administrative tasks associated with the department's growing caseload. $6,000 Request is to lease a high-speed printer. The department currently shares a printer with the Building Department. High printing demands for both departments have created the need for an additional printer. These items will be funded by fees for Taxicab pennits, certificates and decals that were previously budgeted in Fund 113. SUBTOTAL $42,100 Natural Resources $25,000 Request is to fund construction of an artificial reef. TOTAL $317,100 B-14 SUPPORT SERVICES C-1 Support Services Special Revenues Funds (188 & 190) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Appropriations Actual Adopted Forecast Current Expanded Total Budget Exp/Rev Budget Exp/Rev Service Service Budget Change 800 MHz (188) 169,928 1,065,100 613,600 900,000 0 900,000 -15.5% ADA Improvements (190) 3,882 25,100 23,700 58,200 0 58,200 131.9% Total Appropriations 173,810 1,090,200 637,300 958,200 0 958,200 -12.1% Revenue: 800 MHz (188) 955,268 1,065,100 1,129,700 900,000 0 900,000 -15.5% ADA Improvements (190) 27,758 25,100 51,600 58,200 0 58,200 131.9% Total Revenues 983,026 1,090,200 1,181,300 958,200 0 958,200 -12.1% C-2 COMMUNITY DEVELOPMENT & ENVIRONMENTAL SERVICES C-3 Community. Development (113) Fund Summary - Appropriations FY 97/98 FY 98/99 FY 98/99 FY 99.00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriation Unit Exp/Rev Budget Exp/Rev Service Service Budget Change Operating Departments: Dev. Svc. Bldg. Admm. 815,376 948,800 2,063,400 1,435,300 0 1,435,300 51.3% Planning Services 2,249, 129 2,561,700 3,005,700 2.720,600 290,700 3,011,300 17.6% Building Review and Perm. 2,665,762 3,281,500 3,404,700 3241,300 206,100 3,447,400 5.1% Sub-Total/Departments 5,730,267 6,792,000 8,473,800 7,397200 496,800 7,894,000 16.2% Transfers: General Fund (001) 391,300 191,400 191,400 214,100 586,500 800,600 318.3% MSTD Gen'l Fund (111) 565,400 998,300 998,300 1,017,400 62,500 1,079,900 8.2% Facilities Capital (301) 0 0 0 55,700 0 55,700 N/A Pollution Conlxoi (114) 57,600 57,600 57,600 57,600 0 57,600 0.0% Sub Total Transfers 1,014,300 1,247,300 1,247,300 1,344,800 649,000 1,993,800 59.8% Total Operating Costs 6,744,567 8,039,300 9,721,100 8.742.000 1,145,800 9,887,800 23.0% Reserves: Contingency 0 633,300 0 739,700 0 739,700 16.8% Merit Bonus 0 67,200 0 177,300 0 177,300 163.8% Capital 0 4,977,600 0 5,327,800 0 5,327,800 7.0% Pay Plan Adjustment 0 1,900 0 0 0 0 -I00.0% Cash Flow 0 1,275,100 0 1,235,300 0 1,235,300 -3.1% Salary Savings 0 (179,300) 0 (202,600) 0 (202,600) 13.0% Sub-Total Reserves 0 6,775,800 0 7,277,500 0 7,277,500 7.4% Total Fund Appropriations 6,744,567 14,815,100 9,721,100 16,019,500 1,145,800 17,165,300 15.9% C-,4 Community DeveLopment (113) Fund Summary - Revenues FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Revenues Exp/Rev Budget Exp/R. ev Service Sen'ice Budget Change Department Revenues: Building Permits 5,608,237 4,625,000 5,669,000 4,895,900 769,100 5,665,000 22.5% Building Related Revenue 228,728 200,000 200,000 240,000 0 240,000 20.0% Planning Related Revenue 2, 144,632 1,674,500 2,286,000 1,729,000 376,700 2, 105,700 25.8% Interest 471,745 550,000 449,500 456,800 0 456,800 -16.9% Internal Reimbursements 41,666 18,800 8,900 9,800 0 9,800 47.9% Miscellaneous Rev. 236,559 165,000 214,900 258,200 0 258,200 56.5% Contractor's Licensing 299,419 275, 100 236,000 225,700 0 225,700 - 18.0% Revenue Reserve 0 (374,500) 0 (447,800) 0 (447,800) 19.6% Sub-total Dept. Rev. 9,030,986 7,133,900 9,064,300 7,367,600 1,145,800 8,513,400 19.3% Transfers: Transfer (001) 48,200 48,200 48,200 48,200 0 48,200 0.0% Transfer (111 ) 57,800 57,800 57,800 57,800 0 57,800 0.0% Transfer (5 I0) 0 0 0 0 0 0 N/A Sub Total Transfers 106,000 106,000 106,000 106,000 0 106,000 0.0% Total Operating Revenues 9,136,986 7,239,900 9,170,300 7,473,600 1,145,800 8,619,400 19.1% Carry Forward 6,978,200 7,575,200 9,096,700 8,545,900 0 8,545,900 12.8% Total Fund Revenues 16,115,186 14,815,100 18,267,000 16,019,500 1,145,800 17,165,300 15.9% 0 0 Permanent PositiQns: Dev. Svc. Bldg. Admin. 2.0 0.0 0.0 1.0 0.0 1.0 N/A Planning Services 39.0 45.0 45.0 44.0 5.0 49.0 8.9% Building Review and Penn. 49.0 57.5 57.5 57.5 4.5 62.0 7.8% Total Positions 90.0 102.5 102.5 102.5 9.5 112.0 9.3% C-5 COMMUNITY DEVELOPMENT & ENVIRONMENTAL SERVICES DIVISION Proposed FY 00 Expanded Services Fund (113) DEPARTMENT AMOUNT DESCRIPTION Planning Services $55,700 Request is for a Principal Planner position to develop and coordinate strategic planning initiatives, perform special projects, and develop and maintain the department's web page. $33,200 Request is for a Planning Technician I position to assist at the customer service counter planning desk and to implement a front counter e-mail option for information requests. $30,800 Request is for a Secretary II position to reduce the current need to hire temporary clerical staff. $81,200 Request is for an Engineering Inspector position to work predominantly in the area o fright_of_way inspections. This includes a $23,800 radio equipped vehicle and related expenses. $48,100 Request is for a Senior Engineer position to assist in the review of traffic planning and site development issues, and other transportation related functions. $41,700 Request is for the purchase of a mid-sized 4-wheel drive SUV at $23,500, and a mid-sized 4-door sedan at $17,000. SUBTOTAL $290,700 C-6 COMMUNITY DEVELOPMENT & ENVIRONMENTAL SERVICES DIVISION Proposed FY 00 Expanded Services Fund (113) DEPARTMENT AMOUNT DESCRIPTION Building Review & Permitting $62,200 Request is for a Licensing Compliance Officer to assist with investigating unlicensed or unlawful contractors. This also includes a radio equipped vehicle and related operating expenses. $143,900 Request is for 3 Plans Review Specialists to review building plans for signs; increase 1 Customer Service Representative I from 30 hours to 40 hours per week. This also includes 3 desktop work stations. SUBTOTAL $206,100 TOTAL $496,800 C-7 Community Development & Environmental Services Special Revenue Funds (108,114, 191) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Cruxcut Expanded Total Budget Appropriations Exp/Rev Budget Exp/Rev Service Service Budget Change Pollution Clean Up (108) 529,219 524,000 384,100 119,000 0 119,000 -77.3% Pollution Control & Prevention (114) 1,317,620 1,596,500 1,489,200 1,623,600 0 1,623,600 1.7% SHIP (191) 895,287 1,669,900 999,800 2,851,300 0 2,851,300 70.7% Total Appropriations 2,742,126 3,790,400 2,873,100 4,593,900 0 4,593,900 21.2% Revenue: Ad Valorem Taxes 854,356 882,400 850,600 866,600 0 866,600 -1.8% State Contracts 162,507 165,600 173,600 175,600 0 175,600 6.0% Reimbursements 133,947 184,500 188,500 184,500 0 184,500 0.0% SH]~ Funds 1,366,800 1,240,400 1,240,400 1,458,900 0 1,458,900 17.6% FDEP Conl3racts 546,084 505,000 156,800 I00,000 0 100,000 -80.2% Well Penits 35,000 35,000 35,000 35,000 0 35,000 N/A Misc. 187,117 63,300 100,900 114,500 0 114,500 80.9% Transfer(108) 5,000 5,000 58,700 10,000 0 10,000 100.0% Transfer (113) 57,600 57,600 57,600 57,600 0 57,600 0.0% Can-yforward 1,051,529 707,700 1,657,900 1,646,900 0 1,646,900 132.7% Revenue Reserve 0 (56,100) 0 (55,700) 0 (55,700) -0.7% Total Revenues 4,399,940 3,790,400 4,520,000 4,593,900 0 4,593,900 21.2% Permanent Positions: Permanent Positions - (114) 19.0 19.0 19.0 19.0 0.0 19.0 0.0% Permanent Positions - (191) 2.0 2.0 2.0 2.0 0.0 2.0 0.0% Part-time Positions - (114) 3.5 3.5 4.0 4.0 0.0 4.0 14.3% Total FTE's 24.5 24.5 25.0 25.0 0.0 25.0 2.0% Inc./Dec. FY99 FY00 PetS100,000 Millage Rate Adopted Proposed Ta_xTtble Value Pollution Control Fund (114) 0.0413 0.0357 -$0.56 C-9 C-IO EMERGENCY SERVICES C-11 C-12 Emergency Services Special Revenues Funds (144 - 149) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Appropriations Actual Adopted Forecast Current Expanded Total Budget Exp/Rev BudSet Exp/Rev Service Service Budget Change Isles of Capri Fire (144) 143,196 206,700 203,300 267,900 0 267,900 29.6% Ochopee Fire (146) 743,394 910,800 866,000 892,400 66,700 959,100 5.3% C.C. Fire Control (148) 280,385 326,500 325,600 333,900 0 333,900 2.3% Gdlndfldorr's Isl Fire Ctl. (149) 0 0 0 58,200 0 58,200 N/A Total Appropriations 1,166,975 1,444,000 1,394,900 1,552,400 66,700 1,619,100 12.1% Revenue: Ad Valorem Taxes 669,824 1,002,500 961,800 1,049,300 70,200 1,119,500 11.7% InterestJlVlisc. 28,815 10,400 22,400 11,100 0 11,100 6.7% Carryforward 153,808 91,300 160,900 142,000 0 142,000 55.5% PILT/Transfer General Fund 357,800 285,500 285,500 243,400 0 243,400 -14.7% Transfers 117,713 106,300 106,300 159,600 0 159,600 50.1% Revenue Reserve 0 (52,000) 0 (53,000) (3,500) (56,500) 8.7% Total Revenues 1,327,960 1,444,000 1,536,900 1,552,400 66,700 1,619,100 12.1% Positions Ochopee Fire (146) 11.0 11.0 11.0 11.0 1.0 12.0 9.1% Isles of Capri Fire (144) 2.25 3.0 3.0 3.0 0.0 3.0 0.0% Total Positions 13.25 14.0 14.0 14.0 1.0 15.0 7.1% Inc./Dec. FY 99 FY 00 Per $100,000 Millage Rate Adopted Proposed Taxable Value Isles of Capri Fire (144) 1.0000 1.0000 $0.00 Ochopee Fire (146) 4.0000 4.0000 $0.00 C.C. Fire Control (148) 1.7979 2.0000 $20.21 Gdlnd/Horfs Isl Fire Ctl. (149)* 1.7979 1.2067 ($59.12) * In FY 99 residents of Goodland and Horr's Island were in Collier County Fire Control. C-13 C-14 PUBLIC WORKS C-15 Special Revenue Funds Public Works Division FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Cm~,~nt Expanded Total Budget Appropriation Unit Exp/Rev Budget Exp/Rev Servic~ Service Budget Change Road Constr. Districts: MSTD Road Dist 2 (103) 499,099 898,400 784,000 860,600 0 860,600 -4.2% MSTD Road Dist. 3 (104) 1,030,145 2,175,200 2,003,500 1,764,000 1,104,900 2,868,900 31.9% MSTD Road Dist 5 (106) 335,661 414,600 423,300 417,000 158,700 575,700 38.9% Street Lighting Districts: Collier County (760) 502,202 632,300 568,000 610,300 0 610,300 -3.5% Naples Prod. Park (770) 8,586 11,300 10,0130 12,700 0 12,700 12.4% RetreatStreet(781) 0 20,800 0 22,100 0 22,100 6.3% Beautifiealion MSTU: Golden Gate (136) 56,332 196,900 298,700 313,100 52,100 365,200 85.5% Radio Road (150) 19,460 462,500 76,900 717,300 0 717,300 55.1% Lely Golf Estates (152) 107,866 127,700 120,500 132,800 0 132,800 4.0% Immokalee (156) 795,672 233,800 376,100 321,800 0 321,800 37.6% Bayshore (160) 0 520,700 285,000 821,600 0 821,600 57.8% Drainage & Roadway Maine Pine Ridge Ind. Park (132) 23,913 683,600 4,100 721,300 0 721,300 5.5% Victoria Park Drain. (134) 3,771 10,200 2,700 10,200 0 10,200 0.0% Naples Prod. Park (138) 1,023 8,500 25,700 38,100 0 38,100 348.2% Naples Park Drain. (139) 1,206 55,100 15,700 40,900 0 40,900 -25.~I Pine Rg Ind. P!c Mte. (140) 21,133 30,800 20,900 22,0(10 0 22,000 -28.6% Naples Pd. Pk. Mte. (141) 7,396 8,200 7,800 8,100 0 8,100 -1.2% Sabal Palm Rd. Ext (151) 14,026 31,900 28,600 61,800 0 61,800 93.7% Hawksridge Pump St (154) 2,573 10,800 2,900 1 !,400 0 I 1,400 5.6% Forest Lake Dr. (155) 4,677 71,300 9,600 160,800 0 160,800 125.5% Total Appropriations 3,434,741 6,604,600 5,064,000 7,067,900 1,315,700 8,383,600 26.9% Revenues: Ad Valorem Taxes 3,522,853 4,833,100 4,664,800 4,249,700 1,384,900 5,634,600 16.6% Loan Proceeds 100,000 0 100,000 78,200 0 78,200 N/A Carry Forward 2,348,266 1,893,000 2,780,800 2,830,900 0 2,830,900 49.5% Revenue Reserve 0 (211,100) 0 (223,200) (69,200) (292,400) 38.5% Interest/Misc. 251,663 89,600 178,500 132300 0 132,300 47.7% Tram ./Other Funds 0 0 170,800 0 0 0 N/A Total Revenues 6,222,782 6,604,600 7,894,900 7,067,900 1,315,700 8,383,600 26.9% Millage Impact FY 99 Mill~e FY 00 Millaae $ Impaa per $100,000 Taxable Value- lncJ(Dee. } MSTD Road Dist. 2 (103) 0.1163 0.0809 ($3.54) MSTD Road Dist 3 (104) 0.3900 0.4626 $7.26 MSTD Road Dist 5 (106) 0.2195 0.3319 $11.24 Collier County (760) 0.1886 0.1727 ($I .59) Naples Prod. Park (770) 0.0060 0.0627 $5.67 Retreat Street (781 ) 0.0000 0.0000 $0.00 Golden Gate (136) 0.5000 0.5000 $0.00 Radio Road (150) 0.5000 0.5000 $0.00 Lely Golf Estates (152) 1.5000 1.5000 $0.00 Immokalee (156) 1.0000 1.0000 $0.00 Bayshore (160) 3.0000 3.0000 $0.00 Pine Ridge Ind. Park (132) 0.0000 0.0000 $0.00 Victoria Park Drain. (134) 0.1240 0.1144 ($0.96) Naples Prod. Park (138) 0.0000 0.0000 $0.00 Naples Park Drain. (139) 0.0000 0.0000 $0.00 Pine Rg Ind. Pk. Mtc. (140) 0.1097 0.0363 ($7.34) Naples Pd. Pk. Mte. (141) 0.0372 0.0340 ($0.32) Sabal Palm Rd. Ext (151) 4.5090 0.0000 ($450.90) Hawksridge Pump S t (154) 0.1114 0.0620 ($4.94) Forest Lake Dr. (155) 0.0000 1.0000 $100.00 PUBLIC WORKS DIVISION Proposed FY 00 Expanded Services MSTD Road Districts (102-106) DEPARTMENT AMOUNT DE S CRIPTION Road Construction $55,000 Establishment of a grounds maintenance program District 3 (104) on CR 951 fom Golden Gate Parkway to Green Boulevard. Program is for six months due to the capital improvement consisting of landscape and irrigation on one mile of CR 951 not being completed until April 2000. $180,000 Establishment of a grounds maintenance program on Davis Boulevard fi:om Airport-Pulling Road to Santa Barbara Boulevard. Capital improvements, consisting of landscape and irrigation on three miles of Davis Boulevard (SR 84), will be completed this year. $7,000 Contractual Services for verticutting services. $255,000 Budgeted capital outlay and landscape operating costs for construction of median landscape for CR 951/SR 962 from Golden Gate Parkway to Green Boulevard. $522,000 Budgeted capital outlay and landscape operating costs for construction of median landscape for East Tamiami Trail from Airport Pulling Road to Rattlesnake Hammock Road. Reserves $51,000 Increase in Reserves Transfers $34,900 Increase in Transfers SUBTOTAL $1,104,900 Road Construction $146,400 Maintenance of Immokalee median landscape District 5 (106) improvements at CR 846 and SR 29, Gateways into Collier County under the County Streetscape Master Plan. Reserves $7,300 Increase in Reserves Transfers $5,000 Increase in Transfers SUBTOTAL $158,700 TOTAL $1,263,600 C-17 C-18 PUBLIC WORKS DIVISION Proposed FY 00 Expanded Services MSTU Improvement Districts (131~160) DEPARTMENT AMOUNT DESCRIPTION Golden Gate Beautification $10,000 There is $10,000 budgeted for Santa Barbara Phase MSTU (136) I Landscape Design in accordance with the Golden Gate Streetscape Master Plan. $40,500 Budgeted capital outlay for median landscaping construction for CR 951/SR 962 between Golden Gate Parkway and Green Boulevard. The cost is part of sharing between funds. The balance of $255,000 will be funded through MSTD 3 (104). Transfers $1,600 Increase in Transfers TOTAL ~52,100 C-19 C-20 ELECTED OFFICIALS C-21 C-22 Tourist Development Funds (193 - 196) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99i00 FY 99/00 % Actual Adopted Forecast Cttrrent Expanded Total Budget Appropriation Unit Exp/R. ev Budget Exp/Rev Service Service Budget Change Special Events (193) 694,600 1,826,500 712,900 2,480,300 53,000 2,533,300 38.7% Market &Promotion (194) 1,426,498 2,820,400 1,981,400 3,041,500 0 3,04 1,500 7.8% Beach Renourish (195) 6,244,637 11,538,300 5,349,100 14,318,100 0 14,318,100 24.1% Economic Disaster (196) 6,598 450,700 16,000 604,900 0 604,900 34.2% Total Appropriations 8,372,333 16,635,900 8,059,400 20,44~.,800 53,000 20,497,800 23.2% Revenue Tourist Tax 7,829,204 8,090,700 8,090,700 8,499,600 0 8,499,600 5.1% Carry Forward 6,507,555 8,310,400 11,001,200 11,806,700 53,000 11,859,700 42.7% Transfer from Tourist Fds 0 73,200 73,200 0 0 0 (1) InterestJMisc 568,775 595,900 754,000 593,100 0 593,100 -0.5% Revenue Reserve 0 (434,300) 0 (454,600) 0 (454,600) 4.7% TotalRevenue 14,905,534 16,635,900 19,919,100 20,~.4~.,800 53,000 20,497,800 23.2% Positions 0 0 0 I 0 I N/A C-23 C-24 MISCELLANEOUS SPECIAL REVENUES C-25 C-26 Miscellaneous Special Revenues FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Appropriations Actual Adopted Forecast Current Expanded Total Budget Exp/Rev Budget Exp/Rev Service Service Budget Chan~e Public Services Museum (198) 352,293 443,700 412,300 488,700 53,000 541,700 22.1% Courts & Related Guardianship (192) 100,124 60,900 58,000 60,900 0 60,900 0.0% Clerk of Courts Records Modernization (197) 179,301 621,900 645,700 1,420,100 0 1,420,100 128.3% Sheriff E-911 (199) 536,247 1,243,800 0 0 0 0 -100.0% Total Appropriations 1,167,965 2,370,300 1,116,000 1,969,700 53,000 2,022,700 -14.7% Revenue: Public Services Museum (198) 385,980 443,700 428,800 488,700 53,000 541,700 22.1% Courts & Related Guardianship (192) 95,462 60,900 58,000 60,900 0 60,900 0.0% Clerk of Courts Records Modernization (197) 1,398,011 621,900 1,793,200 1,420,100 0 1,420,100 128.3% Sheriff E-911 (199) 1,282,705 1,243,800 746,500 0 0 0 -100.0% Total Revenues 3,162,158 2,370,300 3,026,500 1,969,700 53,000 2,022,700 -14.7% Permanem Positions: Public Services Museum (198) 5.5 6.0 6.0 6.0 1.5 7.5 25.0% Sheriff E-911 (199) 3.0 4.0 4.0 4.0 0.0 4.0 0.0% Total Positions 8.5 10.0 10.0 10.0 1.5 11.5 15.0% C~27 C-28 PUBLIC SERVICES Proposed FY 00 Expanded Services Fund (198) DEPARTMENT AMOUNT DESCRIPTION Museum $29,600 Request is to increase the part-time groundskeeper position to full-time in order to take over daily maintenance of the grounds and garden areas and perform minor maintenance of museum buildings in Everglades City and Immokalce, and transporting of exhibits to those locations. $13,000 Request is to increase the part-time Volunteer Coordinator position to full-time to increase and more efficiently direct volunteer involvement in the Museum and its activities. The number of volunteer hours has tripled in the past year and additional time is needed to develop new volunteer resources, recruit, train and assign the growing number of volunteers. $6,700 Request is for a part-time Museum Assistant for the Museum of the Everglades to catalog and curate the collections, respond to requests for information, prepare and present new exhibits and programs, and develop volunteer resources in the community. Reserves $3,700 Increase in Reserves TOTAL $53,000 C-29 GRANTS/TRUSTS D-1 Grants & Shared Revenues Funds (115 - 129 & 491) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 l~' 99'00 % Actual Adopted Forecast Current Expanded Total Budget Appropriation Unit Exp/?~ev Budget Exp/Rev Service Service Budget Change Natural Resources 0 27,000 71,900 59,700 0 59,700 121.1% Section 8 - HUD 132,527 49,100 1,368,800 794,600 0 794,600 1518.3% Metro Planning -MPO 104,756 100,000 240,000 200,000 0 200,000 100.0% RSVP Grant 57,939 55,300 55,900 59,200 0 59200 7.1% Miscellaneous Grants 105,636 107,200 297,600 114,000 0 114,000 6.3% EMS Grants 17,920 290,200 192,700 126,900 0 126,900 -56.3% Parks & Rec Grants 214,023 222,500 230,400 230,800 0 230,800 3.7% Cry Aging Program 103,128 201,700 134,000 244,900 0 244,900 21.4% Sheriff's Grants I, 164,409 823,300 1,768,600 1,048,500 0 1,048,500 27.4% Library Grants 0 68,800 0 325,800 0 325,800 373.5% Total Appropriations 1,900,338 1,945,100 4,359,900 3,204,400 0 3~04,400 64.7% Revenues: Grants 1,407,256 1,147,500 3,4 13,800 2,504,700 0 2,504,700 118.3% Contributions 208,848 212,500 359,000 311,500 0 311,500 46.6% Carry Forward 185,046 360,000 352,700 204~400 0 204,400 -43.2% Interest/Misc. 47, 131 12,500 7,400 3,700 0 3,700 -70.4% Trans./Other Funds 359,821 212,600 428,200 180,100 0 180,100 -15.3% Total Revenues 2,208,102 1,945,100 4,561,100 3,204,400 0 3,204,400 64.7% D-2 Trust Funds (602-699) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99 Actual Adopted Forecast Current ExpandeA Total Buffget Appropriation Unit Exp/Rev Budget Exp/Rev Service Service Bu~_e~ Change Confiscated Property (602) ' 454,882 208,600 447,000 222.400 0 ~ -:~-O 6.6~b Sheriff Training (608) 14,081 15,000 10,000 24.500 0 24.5?~0 63.3% GAC Land (605) 35, 197 395, 100 54,400 449,800 0 -t-z.9.~%X) 13.8% Law Library. (641) 88,958 100,g00 81,300 116,500 0 I t6.5,30 15.6% Animal Control (610) 36,360 108.900 36,000 119,600 0 119.~0 9.8% LibraO' (612) 18,079 40,900 i 6,000 91,300 0 9 I.Z,X) 1 Utility Regulation (669) 256,791 1,412.600 345.000 1.394.200 0 I_L°-I2,XI -1_3% Drug Abuse Trust (616) 0 16,000 0 22.300 0 "' :,X} 39.4% Legal Aid Society. (652) 0 0 100,200 95200 0 952!20 N A Criminal Justice (699) 275,500 376,900 376.900 447,800 0 '-147.S00 18.8% Total Appropriations 1,179,848 2,674,800 1,466,800 2.983.600 0 ~S3.6~O 11.5% Revenues Contiscated Property 593,650 0 101,300 0 0 0 N A Land Sales 87,355 45.000 62.200 45.000 0 -L%X)O 0.~ Drug Assessment 5.871 5,000 5,000 5.000 0 5.,.'~O Utili~' Fees 489,821 266.000 258,500 262.000 0 262.~O - 1.5% Court Fees 349,058 330.000 449,800 449.800 0 a,-t9.$00 36.3% Licenses/Neutering 36,025 31.000 31.000 32.000 0 32.030 3.2% Law Libra~. Fees 70,342 74,600 72.000 73.000 0 73.C~ -2.17', [nterestdlMiscellaneous 188,594 136.100 166,000 165.000 0 165.C00 21 Carry Forward 1,683,181 1,832.100 2,324,000 2.003,000 0 2.~303.',,NX} 9.3% Revenue Reserve 0 (45.000) 0 (51.200) 0 ~ 51230) ! 3.8% Total Revenues 3,503,897 2,674,800 3,469,800 2.983,600 0 Leg3.600 11.5% Permanent Positions Utilit2,.' Regulation 4.0 4.0 4.5 4.0 0 4.0 0.~ D-3 PUBLIC WORKS E-1 County Water & Sewer District Operations Utilities (408) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriation Unit Exp/Rev Budget Exp/Rev Service Service Budget Change Operating Departments: Administration 582,669 591,000 622,000 603,700 0 603,700 2.1% Utilities. Gen. O/H 4,007,872 4,142,100 4,125,900 4,148,800 15,700 4,164,500 0.5% Undergrnd Locate Ops 0 0 0 346,500 459,600 806,100 N/A Water Operations 6,632,344 8,576,900 8,724,500 9,001,900 44 1,000 9,442,900 10. 1% Sewer Operations 7,715,678 9,992,700 9,806,300 9,278,300 292,500 9,570,800 -4.2% Subtotal-Operations 18,938,563 23,302,700 23,278,700 23,379,200 1,208,800 24,588,000 5.5% Reserves: Refunds/Loss/Misc. 2,072 60,000 60,000 60,000 0 60,000 0.0% Reserve-Contingency 0 1,083,500 0 2,292,600 60,400 2,353,000 117.2% Reserve-Capital 0 6,764,100 0 9,424,900 (1,855,700) 7,569,200 11.9% Reserve-Cash Flow 0 2,185,000 0 6,306,100 0 6,306,100 188.6% Subtotal-Reserves 2,072 10,092,600 60,000 18,083,600 (1,795,300) 16,288,300 61.4% Transfers: To (410) Debt Svc 9,773,100 9,530,700 9,530,700 8,373,900 0 8,373,900 -12.1% To (411 ) Wtr Imp Fee 6,062,900 0 0 0 0 0 N/A To (412) Water Cptl 2,000,000 3,500,000 3,500,000 4,500,000 0 4,500,000 28.6% To (413) Swr Imp Fee 0 0 7,000,000 0 0 0 N/A To (414) Sewer Cptl 3,500,000 2,000,000 2,000,000 2,500,000 0 2,500,000 25.0% To (301) Facilities Cptl 0 0 0 147,200 0 147,200 N/A To (001) Gen Fund (GIS) 0 50,000 50,000 44,500 586,500 631,000 1162.0% Subtotal-Transfers 21,336,000 15,080,700 22,080,700 15,565,600 586,500 16,152,100 7.1% Total Appropriations 40,276,635 48,476,000 45,419,400 57,028,400 0 57,028,400 17.6% E-2 County Water & Sewer District Operations (Cont.) Utilities (408) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Revenues Exp/Rev Budget Exp/Rev Service Service Budget Change Operating Revenues: Administration 20,000 23,600 23,600 23,600 0 23,600 15.3% Utilities Gem O/H 155,989 8,000 123,000 93,000 0 93,000 1062.5% Undergrnd Locate Ops 0 0 0 0 0 0 N/A Water Operations 18,324,563 17,801,000 19,785,800 20,546,000 0 20,546,000 15.4% Sewer Operations 20,715,858 19,880,000 21,663,000 22,570,000 0 22,570,000 13.5% Subtotal-Operations 39,216,410 37,712,600 41,595,400 43,232,600 0 43,232,600 14.6% Reimb.FFransfers 4,692,498 110,500 110,500 524,000 0 524,000 374.2% Carry Forward 0 11,680,500 17,412,400 14,541,400 0 14,541,400 24.5% Admin. Reimb. 164,141 187,600 187,600 195,500 0 195,500 4.2% Interest/Misc. 1,048,662 650,400 654,900 727, 100 0 727, 100 11.8% Revenue Reserve 0 ( 1,865,600) 0 (2, 192,200) 0 (2, 192,200) 17.5% Total Revenues 45,121,711 48,476,000 59,960,800 57,028,400 0 57,028,400 17.6% Permanent Positions: Administration 10 9 9 9 0 9 0.0% Utilities Gen. O/H 0 4 4 4 0 4 0.0% Undergmd Locate Ops 0 0 0 6 5 11 N/A Water Operations 86 86 84 84 5 89 3.5% Sewer Operations 95 108 110 104 1 105 -2.8% Total Positions 191 207 207 207 11 218 5.3% E-3 PUBLIC WORKS DIVISION County Water & Sewer Operations Proposed FY 00 Expanded Services Utilities Fund (408) DEPARTMENT AMOUNT DESCRIPTION Utilities General Overhead $15,700 Request is for an increase in payment to the Department of Revenue to fund a new Customer Service Representative II position. Underground Utility Locate $89,500 Request is for 2 trucks with radios, machinery and Operations tools (metal detectors, magnetic locators, ductile iron locators, and a laser level transit) and related vehicle costs to be used by existing staff. $35,000 Request is for purchase of a Vacuum Excavator, which will reduce time and cost of excavation and site restoration. $149,500 Request is for Additional Locate Staffing of 2 Utility Tech II positions, operating costs, 2 tracks with radios, and machinery and tools. $149,500 Request is for As Built Verification 2 Utility Tech II positions, operating costs, 2 trucks with radios, and machinery and tools. $36~100 Request is for addition of 1 Office Assistant H position for Locate Operations, operating costs, office furniture, and radio base station. SUBTOTAL $459,600 Water Operations $136,500 Request is for a valve maintenance crew to locate, map, and operate valves. This includes 2 Utility Tech II positions, a radio equipped vehicle, and operating expenses. $66,200 Request is for a cross connection control tester. This includes 1 Utility Tech II position, a radio equipped vehicle, and operating expenses. E-4 PUBLIC WORKS DIVISION (Cont.) County Water & Sewer Operations Proposed FY 00 Expanded Services Utilities Fund (408) DEPARTMENT AMOUNT DESCRIPTION Water Operations (Cont.) $85,700 Request is for purchase of 2 trackhoes and trailers for the Distribution Section. $28,100 Request is for purchase of an emergency response trailer for the Distribution Section. $2,500 Request is for purchase of an air quality monitor to test the atmosphere of confined spaces and other potentially dangerous areas prior to entry by County personnel. $28,000 Request is for a one-ton truck to support the preventative maintenance program. $3,900 Request is for 2 hand-held portable radios to enhance communications among field personnel. $35,800 Request is for a new Senior Plant Operator position for the SCRWTP due to addition of a new Manatee ASR Well and 8 MGD RO system. $35,800 Request is for a new Senior Plant Operator position for the NCRWTP due to ongoing 8MGD plant expansion. $18,500 Request is for a radio equipped, 4-wheel drive vehicle for the NCRWTP. SUBTOTAL $441,000 E-5 E-6 PUBLIC WORKS DIVISION (Cont.) County Water & Sewer Operations Proposed FY 00 Expanded Services Utilities Fund (408) DEPARTMENT AMOUNT DESCRIPTION Sewer Operations $67,000 Request is for a Wastewater Operations Superintendent position in Wastewater Administration. This includes operating expenses, and a new desktop work station. $42,000 Request is for electricity to operate the upgrade to the Reuse Pump Station and the phased in portion of the 5 MGD facility expansion at NCTWWTP. $3,000 Request is for interdepartmental reimbursements to the Water Department to calibrate and repair bulk reclaimed water meters at PBWWTP. $25,500 Request is for a radio equipped vehicle, including associated expenses, for reclaimed water system personnel at PBWWTP. $100,000 Request is for 4 portable generators to provide electricity to lift stations during power outages by Collections. $55,000 Request is for contracted corrosion control services to extend the life expectancy of force main and reclaim aerial crossings throughout the wastewater system. SUBTOTAL $292,500 TOTAL $1,208,800 E-7 Public Works Miscellaneous Enterprise Funds Funds (410, 431,441) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Appropriations Actual Adopted Forecast Current Expanded Total Budget Exp/Rev Budget Exp/Rev Service Service Budget Change County Water & Sewer District - Debt Service (410) 19,018,192 34,045,300 16,849,700 22,323,400 0 22,323,400 -34.4% Marco Water &Sewer (43 1 ) 582,787 947, 100 787,300 988,800 0 988,800 4.4% Goodland Water (441) 270,513 671,900 308,100 803,800 0 803,800 19.6% Total Appropriations 19,871,492 35,664,300 17,945, 100 24, 116,000 0 24, 116,000 -32.4% Revenue: County Water & Sewer District - Debt Service (410) 29,573,992 34,045,300 29,059,400 22,323,400 0 22,323,400 -34.4% Marco Water &Sewer (431) 925,029 1,772,300 1,036,400 988,800 0 988,800 -44.2% Goodlad Water (441) 337,855 671,900 799,500 803,800 0 803,800 19.6% Total Revenues 30,836,876 36,489,500 30,895,300 24,116,000 0 24,116,000 -33.9% Permanent Positions: District - Debt Service (410) 0.0 0.0 0.0 0.0 0.0 0.0 N/A Marco Water &Sewer (431) 2.0 2.0 2.0 2.0 0.0 2.0 0.0% Goodland Water (441) 1.0 1.0 1.0 1.0 0.0 1.0 0.0% Total Positions 3.0 3.0 3.0 3.0 0.0 3.0 0.0% E-9 E-IO County Water & Sewer District County Water/Sewer District Debt Service (410) Purpose; Fund (410) accounts for Debt Service and related reserves of the Collier County Water and Sewer District FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriation Unit Exp/Rev Budget Exp/Rev Service Service Budget Change Debt Service 11,678,454 10,665,100 9,623,400 10,767,000 0 10,767,000 1.0% Issuance/Misc. 38,606 87,000 155,500 91,300 0 91,300 4.9% Tfr to Sewer Impact Fee 0 13,000,000 6,000,000 0 0 0 -100.0% Tfr to Sewer Capital (41 7,239,218 0 1,000,000 0 0 0 -100.0% Transfer-Con. Officers 61,914 70,800 70,800 70,800 0 70,800 0.0% Reserve-Debt Service 0 10,222,400 0 11,394,300 0 11,394,300 11.5% TotalAppropriations 19,018,192 34,045,300 16,849,700 22,323,400 0 22,323,400 -34.4% Revenues Assessments Int. 758,218 713,300 16,000 635,800 0 635,800 -10.9% Assessments Princ. 1,580,13 1 836,600 1,556,900 795,600 0 795,600 -4.9% Transfers (408) 9,773,100 9,530,700 9,530,700 8,373,900 0 8,373,900 -12.1% Transfers (414) 0 0 0 0 0 0 N/A InterestJMisc. 430,158 400,000 400,000 400,000 0 400,000 0.0% Carry Forward 10,176,100 9,662,200 10,555,800 12,209,700 0 12,209,700 26.4% Bond Proceeds 0 0 0 0 0 0 N/A Loan Proceeds 6,856,285 13,000,000 7,000,000 0 0 0 -100.0% Revenue Reserve 0 (97,500) 0 (91,600) 0 (91,600) -6.1% TotalRevenues 29,573,992 34,045,300 29,059,400 22,323,400 0 22,323,400 -34.4% FY 00 FY 00 FY 00 Bonds Principal Interest Total 1990 Assess 55,000 36,400 91,400 1992 Revenue 775,000 513,000 1,288,000 1994 Revenue 1,250,000 1,224,100 2,474,100 1994 Revenue 645,000 1,996,500 2,641,500 1999 Revenue 80,000 255,700 335,700 1999 Revenue 950,000 1,019,500 1,969,500 Loans SRF 1990 619,300 441,400 1,060,700 SRF 1996 547,500 358,600 906,100 Total Debt Service: 4,921,800 5,845,200 10,767,000 E-11 Public Works Solid Waste Funds (470 - 473) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Appropriations Actual Adopted Forecast Current Expanded Total Budget Exp/Rev Budget Exp/Rev Service Service Budget Change Solid Waste Disposal (470) 8,060,253 24,092,700 8,826,800 25,528,300 2,014,400 27,542,700 14.3% Landfill Closure (471) 0 4,878,900 0 5,117,600 0 5,117,600 4.9% Solid Waste Grants (472) 229,618 264,800 261,200 249,500 0 249,500 -5.8% Mandatory Collections (473) 6,723, 162 7,904, 100 7,628, 100 8,697,200 0 8,697,200 10.0% TotalAppropriations 15,013,033 37,140,500 16,716,100 39,592,600 2,014,400 41,607,000 12.0% Revenue: Solid Waste Disposal (470) 22,487,062 24,092,700 25,304,200 25,528.300 2,014,400 27.542,700 14.3% Landfill Closure (471) 4,652,874 4,878,900 4,885,500 5,117,600 0 5,117,600 4.9% Solid Waste Grants (472) 245,181 264,800 262,700 249,500 0 249.500 -5.8% Mandatory Collections (473) 8,274,833 7,904,100 8.983,200 8,697,200 0 8,697,200 10.0% Total Revenues 35,659,950 37,140,500 39,435,600 39,592,600 2,014,400 41,607,000 12.0% Permanent Positions: Solid Waste Disposal (470) 9.0 9.0 9.0 9.0 2.0 11.0 22.2% Solid Waste Grants (472) 1.0 1.0 1.0 1.0 0.0 1.0 0.0% Mandatory Collections (473) 0.0 0.0 0.0 0.0 0.0 0.0 N/A Total Positions 10.0 10.0 10.0 10.0 2.0 12.0 20.0% E-12 PUBLIC WORKS DIVISION Solid Waste Management Proposed FY 00 Expanded Services Fund (470) DEPARTMENT AMOUNT DESCRIPTION Solid Waste Disposal $1,820,000 Request is to improve odor control by closing Phases I & II of Cell 6 at the Naples Land fill using a plastic cover. This expenses is needed to cover slopes that would not normally be covered until final closure of the entire site. $32,800 Request is for an Assistant Recycling Coordinator position to make public presentations and develop a program to promote recycling in multi-family residential areas. $32,900 Request is for an Equipment Operator at the Naples Transfer Station, which has experienced a 27% increase in customer usage and 39% increase in tonnage processed since 1996. $32,800 Request is for an interdepartmental payment to Department of Revenue for a Clerical Supervisor for scale house operations. Reserves $95,900 Increase in Reserves TOTAL $2,014,400 E-13 E-14 EMERGENCY SERVICES E-15 E-16 Emergency Services Miscellaneous Enterprise Funds Fund (492) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriations Exp/Rev BudSet Exp/Rev Service Service BudSet ChanSe First Resp. Training (492) 0 0 0 93,500 0 93,500 Total Appropriations 0 0 0 93,500 0 93,500 N/A Revenue: First Resp. Training (492) 0 0 0 93,500 0 93,500 N/A Total Revenues 0 0 0 93,500 0 . 93,500 N/A Permanent Positions: First Resp. Training (492) 0.0 0.0 0.0 0.0 0.0 0.0 N/A Total Positions 0.0 0.0 0.0 0.0 0.0 0.0 N/A E-17 F-! Internal Services Funds (510-589) FY 97/98 FY 98/99 FY 98/99 bY' 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriations Exp/Rev Budl~ct Exp/Rev Service Service Budget Chan~e Department of Revenue 2,290,881 2,599,700 2,677,200 2,675,200 79,500 2,754,700 6.0% Property &Casualty 2,342,628 2,988,500 2,089,700 3,616,000 10,000 3,626,000 21.3% Group Health &Life 6,113,824 7,227,300 6,476,000 8,420,500 0 8,420,500 16.5% Worker's Compensation 1,669,921 4,720,100 1,282,700 6,427,700 68,800 6,496,500 37.6% Fleet Management 1,985,286 2,319,900 2,047,000 2,387,900 31,800 2,419,700 4.3% Motor Pool Capital Rec. 809,172 3,196,400 725,500 3,928,800 0 3,928,800 22.9% PWED 2,748,297 3,597,400 3,025,800 3,140,900 0 3,140,900 -12.7% Total Appropriations 17,960,009 26,649,300 18,323,900 30,597,000 190,100 30,787,100 15.5% Revenue: Deparanent of Revenue 2,687,8 15 2,599,700 2,702,700 2,675,200 79,500 2,754,700 6.0% Property &Casualty 2,953,081 2,988,500 3,371,900 3,616,000 10,000 3,626,000 21.3% Group Health &Life 7,156,173 7,227,300 7,684,800 8,420,500 0 8,420,500 16.5% Worker's Compensation 5,072,164 4,720,100 5,535,700 6,427,700 68,800 6,496,500 37.6% Fleet Management 2,244,899 2,319,900 2,346,400 2,387,900 31,800 2,419,700 4.3% Motor Pool Capital Rec. 2,430,802 3,196,400 3,147,600 3,928,800 0 3,928,800 22.9% PWED 4,268,569 3,597,400 3,670,800 3,140,900 0 3,140,900 -12.7% Tom/Revenues 26,813,503 26,649,300 28,459,900 30,597,000 190,100 30,787,100 15.5% Permanent Positions: Department of Revenue 39.0 42.0 42.0 42.0 3.0 45.0 7. I% Property & Casualty 1.5 2.0 2.0 2.0 0.0 2.0 0.0% Group Health & Life 2.5 2.5 2.5 2.5 0.0 2.5 0.0% Worker's Compensation 2.0 2.5 2.5 2.5 1.0 3.5 40.0% Fleet Management 14.5 14.5 14.5 14.5 1.0 15.5 6.9% Motor Pool Capital Rec. 0.5 0.5 0.5 0.5 0.0 0.5 0.0% PWED 40.0 33.0 33.0 33.0 0.0 33.0 0.0% Total Positions 100.0 97.0 97.0 97.0 5.0 102.0 5.2% F-2 SUPPORT SERVICES DIVISION Internal Services Funds Proposed FY 00 Expanded Ser ices Fund (510-522) DEPARTMENT A~IOUNT DESCRIPTION Department of Revenue- $15,700 Request is for a Cus~mer Ser~-ices Representative Utilities II. This position will ~hare in the daily billing duties and he~ to ensure that xvork is being completed effectively and efficiently as the customer base st~.ttilv increases from the County's growth. Included are personal sen-ices of 513,800 and S 1,900 for a new compmer. This position will be phased in s'tar~g April 1, 2000. Department of Revenue - $31,000 Request is for a Senior Customer Sen-ice Ambulance Billing Representative. This position will pmx-ide additional customer service, posting of payments and denials, and performing tasks related to secondary billin~ Included are personal services of $29,000 and cavital ou~ay of 52,000 for a computer and license. Department of Revenue - $32,800 Request is for a Clerical Supervisor, who vdll Scalehouse provide continuous sra. ffmg of 2 employees at the Naples LandfilL ~hx']e supen-ising 4 scalehouse attendants. The2:' will also complete billing and collection taxks az:d maintain the computer system at both land~ils. SUBTOTAL $79~500 Risk Mgmt.- Property & $10,000 Request is for hake the funding ofR.IMS sofhnare. Casualty This would allow ~rical data on insurance records to be reta~e~ in-house instead of contracting out fer th~ service. Risk Mgmt.-Workers' S4,500 Request is for a z.~ .:n'ojector for use in employee Compensation training courses. 510,000 Request is for ha3fthe funding of RIMS software. F-3 Internal Services Funds (Cont.) Proposed FY 00 Expanded Services Fund (510-522) DEPARTMENT AMOUNT DESCRIPTION Risk Mgmt.-Workers' $54,300 Request is for a Safety Coordinator to improve Compensation (Cont.) safety awareness and establish an effective and consistent workplace safety program that will ensure OSHA compliance as well as proper employee orientation and behavior for the Public Works Division. Included in this are operating costs and the purchase of a desktop work station. SUBTOTAL $78,800 Facilities Mgmt.-Fleet Mgrnt. $31,800 Request is for a Service Writer position. This Administration position will be responsible for preparing and processing work orders, administering the preventive maintenance program., and performing administrative tasks for the fuel island, such as fuel reconciliations and complying with DEP. These responsibilities are currently being completed by the Maintenance Supervisor, Fleet Manager, and St. Fleet Analyst, which reduces the amount of 6me available for their own work. This position is at $3,900 (inclusive of benefits) above entry level. TOTAL F~4 Division Summary Debt Service Funds FY 97/98 FY 98/99 FY 98/99 FY 99,t00 FY 99/00 FY 99/00 % Actual Adopted Forecast Can-trot Expanded Total Budget Appropriation Unit Exp/Rev Budget Exp/Rev Sen-ice Service Budget Change Race Track (202) 375,985 753,400 375,400 756.600 0 756,600 0.4% Entitlement (204) 378,446 725,500 377,000 730.600 0 730,600 0.7% Parks G.O. (206) 859,497 864,900 859,900 857.700 0 857,700 -0.8% Renourishment (207) 1,841,663 0 0 0 0 0 N/A Gas Tax (212) 555,371 1,105,300 549,100 1,110.600 0 1,110,600 0.5% Sales Tax (215) 3,390,284 9,898,500 3,602,000 9,926.900 0 9,926,900 0.3% Naples Park Drainage (226) 213,200 407,900 217,700 467200 0 467,200 14.5% Pine Ridge/Naples (232) 2,441,768 7,620,700 1,693,900 8,107300 0 8,107,500 6.4% Isle of Capri Fire (244) 30,681 32,200 30,700 32.S00 0 32,800 1.9% Special Obl. Rev. Bond (290) 3,044,887 4,247,900 2,947,900 4,144200 0 4,144,200 -2.4% Commercial Paper (299) 1,740,477 1,705,600 1,705,600 3,977.100 0 3,977,100 133.2% Total Appropriations 14,872,259 27,361,900 12,359,200 30,111200 0 30,111,200 10.0% Revenues: Assessments 2,412,069 1,981,300 1,982,800 1,853300 0 1,853,500 -6.5% Bond Proceeds 0 0 0 0 0 0 N/A Ad Valorem Tax 854,722 896,600 864,400 865.900 0 865,900 -3.4% Racing Tax 352,700 345,900 345,900 336.700 0 336,700 -2.7% State Revenue Sharing 368,400 363,000 363,000 373.100 0 373,100 2.8% Sales Tax 3,194,100 3,206,700 3,206,700 3,216.000 0 3,216,000 0,3% Gas Taxes 513,100 503,300 503,300 515300 0 515,300 2.4% Transfers 6,578,022 4,641,400 4,641,400 6,627.700 0 6,627,700 42.8% Miscellaneous Revenue 915,144 579,700 650,900 666.700 0 666,700 15.0% Carryforward 15,532,760 15,238,000 15,848,600 16.047.800 0 16,047,800 5.3% Revenue Reserve 0 (394,000) 0 (391300) 0 (391,500) -0.6% Total Revenues 30,721,017 27,361,900 28,407,000 30.111200 0 30, 111,200 10.0% G-I 1973 IMPROVEM2ENT REVENUE CERTIFICATES (202) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriation Unit Exp/Rev Budget Exp/Rev Service Service Budget Change Arbitrage Services 0 0 0 0 0 0 N/A Debt Service 375,985 375,400 375,400 378,600 0 378,600 0.9% Transfers 0 0 0 0 0 0 N/A Reserves 0 378,000 0 378,000 0 378,000 0.0% Total Appropriations 375,985 753,400 375,400 756,600 0 756,600 0.4% Revenues: Racing Tax 352,700 345,900 345,900 336,700 0 336,700 -2.7% Mise. Revenues 31,594 15,000 20,000 20,000 0 20,000 33.3% Carryforward 419,000 410,600 427,300 417,800 0 417,800 1.8% Revenue Reserve 0 (18,100) 0 (17,900) 0 (17,900) -1.1% Total Revenues 803,294 753,400 793,200 756,600 0 756,600 0.4% Purpose: Capital projects including expansion of Collier County Government Center. Principal Outstanding as of September 30, 1999: $1,300,000 Final Maturity: July 1, 2003 Interest Rate: 5.5% -6.25% Revenue Pledged: Race Track Taxes 1977 GUARANTEED ENTITLEMENT REVENUE BONDS (204) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriation Unit Exp/Rev Budget Exp/Rev Service Service Budget Change Arbilxage Services 2, 188 3,500 3,500 3,500 0 3,500 0.0% Debt Service 376,258 373,500 373,500 370,300 0 370,300 -0.9% Transfers 0 0 0 0 0 0 N/A Reserves 0 348,500 0 356,800 0 356,800 2.4% Total Appropriations 378,446 725,500 377,000 730,600 0 730,600 0.7% Revenues: Revenue Sharing 368,400 363,000 363,000 373,100 0 373,100 2.8% Bond Proceeds 0 0 0 0 0 0 N/A Mist. Revenues 12,865 12,800 12,800 12,800 0 12,800 0.0% Carryforward 362,400 368,500 365,200 364,000 0 364,000 -1.2% Revenue Reserve 0 (18,800) 0 (19,300) 0 (19,300) 2.7% Total Revenues 743,665 725,500 741,000 730,600 0 730,600 0.7% Purpose: A series of unrelated capital projects. Principal Outstanding as of September 30, 1999: $1,360,000 Final MaturiC': October I, 2003 Interest Rate: 5.90% - 6.75% Revenue Pledged: State Revenue Sharing funds G-2 1996 PUBLIC PARK AND RECREATION MSTU G,O, BO.N'IIS C,06) FY 97198 FY 98/99 FY 98~99 FY 99.00 FY 99/130 l~x' 99./00 % Actual Adopted Forocast ~ Expanded Total Budget Appropriation Unit Ex'p/Rev Budget Ex~p/Rev Se~-ice Ser,'ice Budget Change A~bitrage Services 2, 188 3,500 3,500 3.5oO 1} 3,500 O.O~/a Debt Service 831,755 830,700 830,700 828.500 0 828,500 -0.3% Transfers 25~54 30,700 25,700 25.700 0 25,700 -16.3°,~ Reserves 0 0 0 0 0 0 N/A Total Appropriations 859,497 864,900 859,900 857.700 0 857,700 -0.8°,~ Revenues: Ad Valorera Taxes 824,761 865,700 834,600 835.800 0 835,800 -3.5% Bond Proceeds 0 0 0 0 0 0 N/A Mist. Revenues 30,930 12.000 18,000 18.tXX) 0 18,000 50.~ Canyforward 57,700 31,100 53,900 46.600 0 46,600 49.~I Revenue Reserve 0 (43,900) 0 (4~'00) 0 (42,700) -2.7% Total Revenues 9 13,391 864,900 906,500 857.700 0 857,700 -0.8% Purpose: Reftmdln~ bonds. Principal Outstanding as of September 30, 1999:$3,000,000 Final Maturity: July 1.2003 Interest Rate: 4.0°,~ - 4.2°,4 Revenue Pledged: Ad Valoreat Taxes of Parks and Recreation MSTU MARCO ISLAND BEACHFRONT RENOURISH3IE1NT FACILITIES .~L~"E G.O. BONDS (207) FY 97/98 FY 98/99 FY 98/99 1~' 99.I)0 FY 99/130 FY 99/00 Actual Adopted Forecast Cnrr~ Expanded Total Budget Appropriation Unit Exp/Rev Budget Exp/Rev Sea'ice Sen'ice Budget Change Arbitrage Serfices 2. 188 O t) 0 O 0 N'A Debt S~vice ! .83 1307 0 0 0 0 0 N/A Transfers 8. 168 0 0 0 0 0 N/A Reserves 0 0 0 0 0 0 N/A Total Approln-iations 1.841.663 0 0 0 0 0 N/A Revenues: Ad Valorera Taxes 0 0 0 0 0 0 N/A Loan Proceeds 0 0 0 0 0 0 N/A Transl~r (195) 1.807,295 0 0 0 0 0 N/A Misc. Revenues 68 0 0 0 0 0 N/A Catryfonvard 34300 0 0 0 0 0 N/A Revenue Resen'e 0 0 0 0 0 0 N/A Total Revenues 1.841.663 0 0 0 0 0 N/A Purpose: Replacenaent of sand at certain beach. front locations on Marco Island. Principal Out~anding as of September 30. 1999:$0 Final Matttrirv: January.'. 1998 (retin:d early) Interest Rate: 6.6% - 7. 10°,~ Revenue Pledged: Marco Beach Renottrishment MSTU Ad Valorexn taxes G-3 1995 ROAD IMPROVEMENT REFUNDING REVENUE BONDS (212) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriation Unit Exp/Rev Budget Exp/Rev Service Service Budget Change Arbitrage Services 2,626 3,500 3,500 3,500 0 3,500 0.0% Debt Service 552,745 545,600 545,600 552,700 0 552,700 1.3% Transfers 0 0 0 0 0 0 N/A Reserves 0 556,200 0 554,400 0 554,400 -0.3% Total Appropriations 555,371 1,105,300 549,100 1,110,600 0 1,110,600 0.5% Revenues: Gas Taxes 513,100 503,300 503,300 515,300 0 515,300 2.4% Mist. Revenues 38,807 28,000 28,000 28,000 0 28,000 0.0% Bond Proceeds 0 0 0 0 0 0 N/A Carnffonvard 615,800 600,600 612,300 594,500 0 594,500 -1.0% Revenue Reserve 0 (26,600) 0 (27,200) 0 (27,200) 2.3% TotalRevenues 1,167,707 1,105,300 1,143,600 1,110,600 0 1,110,600 0.5% Purpose: Re~mding 1995 Road Improvement Revenue Bonds. Principal Outstanding as of September 30, 1999:$4,545,000 Final Maturity: June 1, 2010 Interest Rate: 3.60% - 5.375% Revenue Pledged: 9th Cent Gas Tax and 7th Cent Gas Tax 1992 & 1994 CAPITAL ll~IPROVEMENT REVENUE REFUNDING BONDS (215) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriation Unit Exp/Rev Budget Exp/Rev Service Service Budget Change Arbitrage Services 5,246 7,0O0 7,O00 7,000 0 7,000 0.0% Debt Service 3,385,038 3,595,000 3,595,000 3,588,200 0 3,588,200 -0.2% Cash Flow Reserve 0 2,668,000 0 2,703,200 0 2,703,200 1.3% Debt Service Reserve 0 3,628,500 0 3,628,500 0 3,628,500 0.0% Total Appropriations 3,390,284 9,898,500 3,602,000 9,926,900 0 9,926,900 0.3% Revenues: Sales Tax 3,194,100 3,206,700 3,206,700 3,216,000 0 3,216,000 0.3% Misc. Revenues 358,084 250,000 300,000 300,000 0 300,000 20.0% Carryfonvard 6,520,100 6,614,600 6,682,000 6,586,700 0 6,586,700 -0.4% Bond Proceeds 0 0 0 0 0 0 N/A Revenue Reserve 0 (172,800) 0 (175,800) 0 (175,800) 1.7% Total Revenues 10,072,284 9,898,500 10,188,700 9,926,900 0 9,926,900 0.3% Purpose: Construct Development Services Building, purchase Lely Barethor Beach. and Courthouse Complex improvements. Principal Outstanding as of September 30, 1998: $6,650,000; $27,975,000 Final Maturity: October I, 2013; October 1, 2012 Interest Rate: 2.7% - 5.8%; 4.35% - 5.75% Revenue Pledged: Local Government Half Cent Sales Tax G-4 NAPLES PARK DRAINAGE DEBT SERVICE (226) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Expanded Total Budget Appropriation Unit Exp/Rev Budget Exp/Rev Service Service Budget Change Operating Expenses 10,035 10,800 13,200 13,200 0 13,200 22.2% Debt Service 198,965 196,000 196,000 200,700 0 200,700 2.4% Transfers PAFFC 4,200 8,500 8,500 8,500 0 8,500 0.0% Reserves 0 192,600 0 244,800 0 244,800 27.1% Total Appropriations 213,200 407,900 217,700 467,200 0 467,200 14.5% Revenues: Assessments 251,491 250,500 252,000 221,300 0 221,300 -11.7% Bond Proceeds 0 0 0 0 0 0 N/A Transfer (326) 0 0 0 0 0 0 N/A Interest/~lisc. 14,648 6,700 6,700 6,700 0 6,700 0.0% Carryfonvard 156,700 163,600 209,600 250,600 0 250,600 53.2% Revenue Reserve 0 (12,900) 0 (11,400) 0 (11,400) -11.6% Total Revenues 422,839 407,900 468,300 467,200 0 467,200 14.5% Purpose: Naples Park Drainage Improvements. Principal Outstanding as of September 30, 1999:$1,715,000 Final Maturity: September 1, 2012 Interest Rate: 6.45% Revenue Pledged: Naples Park Assessments PINE RIDGE/NAPLES PRODUCTION PARK DEBT (232) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current Ex'panded Total Budget Appropriation Unit Exp/Rev Budget Ex'p/Rev Service Service Budget Change Arbitrage Services 11,988 3,500 3,500 3,500 0 3,500 0.0% Debt Service 2,366,789 1,271,400 1,610,400 1,417,600 0 1,417,600 11.5% Cash Flow Reserve 0 1,526,100 0 1,473,500 0 1,473,500 -3.4% Debt Service Reserve 0 4,739,700 0 5,132,900 0 5,132,900 8.3% Transfers 62,991 80,000 80,000 80,000 0 80,000 0.0% Total Appropriations 2,441,768 7,620,700 1,693,900 8,107,500 0 8,107,500 6.4% Revenues: Assessments 2,160,578 1,730,800 1,730,800 1,632,200 0 1,632,200 -5.7% Loan Proceeds 0 0 0 0 0 0 N/A Transl~rs 0 0 0 0 0 0 N/A Interest/IVlisc. 319,713 190,000 190,000 206,000 0 206,000 8.4% C',m'yf. orxvard 6,095,800 5,795,900 6,134,300 6,361,200 0 6,361,200 9.8% Revenue Reserve 0 (96,000) 0 (91,900) 0 (91,900) -4.3% Total Revenues 8,576,091 7,620,700 8,055,100 8,107,500 0 8,107,500 6.4% Purpose: Pine Ridge Industrial Park and Naples Production Park Improvements Principal Outstanding as of September 30, 1999:$9,915,000 Final Maturity: October 1, 2013 Interest Rate: 3.0% - 5.6% Revenue Pledged: Special Assessments G-5 ISLE OF CAPRI (244) FY 97/98 FY 98/99 FY 98,99 FY 99/00 FY 99/00 FY 99/00 % Actual Adopted Forecast Current E.'~anded Total Budget Appropriation Unit Exp/Rev Budget Ar atrage Services Exp/Rev Service Service Budget Change 2, 188 0 ~ Debt Service 27,479 26,000 26,000 24,600 0 24,600 -5.4% Transfers 1,0 14 1,200 1,200 1,200 0 1,200 0.0% Cash Flow Reserve 0 1,500 0 3.500 0 3,500 133.3% Total Appropriations 30,681 32,200 30,700 32.800 0 32,800 1.9°.,~ RJvenues: Ad Valorera Taxes 29,961 30,900 29,800 30,100 0 30,100 -2.6% Loan Proceeds 0 0 0 0 0 0 N/A InterestJlVlisc. 871 200 400 200 0 200 0.0°,4 Carryforward 4,300 2,700 4,_~0 4.000 0 4,000 48.1% Revenue Reserve 0 (1,600) 0 (1.500) 0 (1,500) Total Revenues ' .-6.3% 35,132 32,200 34,700 32.800 0 32,800 1.9% Purpose: Fire Station Expansion Principal Outstanding as of September 30, 1999:$22,857 Final Maturi.ty: April 1, 2000 Interest Rate: 6.63% Revenue Pledged: Isle of Capri Fire Ad Valorera taxes 1997 SPECIAL OBLIGATION RB,EI~UE BONDS (290) FY 97/98 FY 98/99 FY 98299 FY 99/00 FY 99/00 FY 99/00 % Appropriation Unit Actual Adopied Fon:casl C~! Expanded xp/Rev Budget Ex'p~Rev Service Sen'ice Total Budget ~ E Budget Change Transfers 0 0 0 0 0 0 N/A Debt Service 3,042,699 2,944,400 2.944,400 2,840,700 0 2,840,700 -3.5% Reserves 0 1,300,000 0 1,300.000 0 1,300,000 0.(E~ Total Appropriations 3,044,887 4,247,900 2,947,900 4,144,200 ' 0 4,144,200 -2.4% _Revenues: Interest/Misc. 107,416 65,000 75.000 75,000 0 75,000 15.4% Can')~f°rward 1,251,500 1,250,400 1,351,900 ! ,414,800 0 1,414,800 13.1% Bond Proceeds 0 0 0 0 0 0 N/A Transfer (001) 1,466,500 1,416,000 1,416.000 !,279,100 0 1,279,100 -9.7% Transfer (313) 1,239,200 1,199,000 1,199.0OO 1,088,600 0 1,088,600 -9.2% Transfer (345) 332,200 320,800 320.800 290,500 0 290,500 -9.4% Revenue Reserve 0 (3,300) 0 (3,800) 0 (3,800) 15.2% Total Revenues 4,396,8 16 4,247,901~ 4,362.700 4,144,200 ' 0 4,144,200 -2.4% Purpose: Convert Commercial Paper Debt to fixed interest rate. Principal Outstanding as of September 30, 1998:$10,440,000 Final Maturity: March 1, 2004 Interest Rate: 4.35% Revenue Pledged: Available non ad valorera revenues. G~6 COMMERCIAL PAPER DEBT (299) FY 97/98 FY 98/99 FY 98/99 FY 99/00 FT 99.'00 FY 99/00 % Actual Adopted Forecast Current E.~aaded Total Budget Appropriation Unit Exp/Rev Budget Ex-p:iev Service Service Budget Change Arbitrage Services 16,100 7,000 7,000 10,500 0 10.500 50.~'o Transfers 0 0 0 0 0 0 N/A Debt Service 1,724,377 1,698,600 1.698,600 3,966,600 0 3.966.600 133.5% Reserves 0 0 0 0 0 0 N/A Total Appropriations 1,740,477 1,705,600 1.705.600 3,977,100 0 3.977.100 133.2% Revenues: Interesta~isc. 148 0 0 0 0 0 N/A C arryfonvard 15, 160 0 7.600 7,600 0 7.600 N/A Loan Proceeds 0 0 0 0 0 0 N/A Transfer (001) 5,248 0 0 1,612,800 0 1.612.800 N/A Transfer (195) 1,430,221 1,396,800 !,396.800 1356,300 0 1.356.300 -2,9% Transfer (313) 0 0 0 0 0 0 N/A Transfer (326) 0 0 0 0 0 0 N/A Transfer (345) 0 0 0 0 0 0 N/A Transfer (355) 297,358 308.800 308.800 1,000,400 0 1,000.400 224.0% Transfer (496) 0 0 0 0 0 0 N/A Revenue Reserve 0 0 0 0 0 0 N/A Total Revenues 1,748,135 1,705,600 1.713200 3,977,100 0 3,977,100 133.2% Purpose: Various capital projects. Principal Outstanding as of September 30, 1999: General Government - $9,078,100 Final Maturity: December 31,200 1 Interest Rate: Variable Revenue Pledged: Available non ad valorem revenues. G-7 CAPITAL IMPROVEMENT PROGRAM H-1 ["{-2 FY 99/00 PARKS CAPITAL Incorporated Areas Regional Park Impact Fees (345) FY 99 Forecast/FY 00 Budget Appropriations: FY 99 FY 99 FY 99 Project FY 00 Proj # Project Name Adopted Amended Forecast CF Budget 00000 Professional Fees 13,804 13,800 4 80081 Sugden Park 155,000 202,362 202,400 (38' 80095 Bluebill Park 92,000 92,000 92,000 80098 EN Commumty Park Improvements 80114 GG Fimess Center 80209 Lely Barefoot Beach Improvements 17,500 80214 Clam Pass Park 100,000 100,000 100,000 - 80602 North Regional Park 14, 100,000 14.100,000 5,279,700 Subtotal County Parks: 14,447,000 14,508,166 5,687,900 (34) 17,500 Total Project Expenses: 14,447,000 14,508,166 5,687,900 (34) 17,500 Transfer Debt Service 320,800 320,800 320,800 200,000 Reserves 614,700 614,700 17,800 TOTAL APPROPRIATIONS: 15,382,500 15,443,666 6,008,700 (34) 235,300 Revenue: FY 99 FY 99 FY 99 FY 00 Adopted Amended Forecast Budget Regional Park Impact Fee 795,000 79.5,000 908.500 25,000 Bond/Loan Proceeds 14,100,000 14,100,000 4,259,000 Interest 27,600 27,600 27,600 10,090 Carry Forward 501,000 562.166 1,024,700 202, 100 Revenue Reserve (41,100) (41.100) (1,800)! TOTAL REVENUE: 15,382.500 15,443,666 6,210.800 - 235,300 H-3 FY 99/00 PARKS CAPITAL Community Park Impact Fees (365 & 368) FY 99 Forecast/FY 00 Budget Appropriations: Fund 365 Fund 368 FY 99 FY 99 FY 00 FY 99 FY 99 FY 99 Project FY 00 Proi # Proiect Name Adopted Amended Budget Adopted Amended Forecast CF Budget 00000 Vehicles 22,000 22,000 22,000 42,000 00000 Misc. Non-Project 44,910 44,900 10 00000 Mt. Facilities (M.Hasse/Vineyards) - 80,000 00000 Pelican Bay Park - 30,000 00000 Horse Stables - DAS - 70,000 80016 NN Naples Basketball 20,000 20.000 20,000 - 80027 lmmokalee Football/Soccer 3,509 3,500 9 110,000 80028 Vineyards Park 35,000 35,000 35,000 - I 1,000 80037 Eagle Lakes Park 3,068.200 3.626.121 3,626.100 21 100,000 80041 GGCP - Walk Trails 40,000 40.000 40,000 40.000 80054 GG Estates Pk 5.395 5.400 (5) 80087 East Naples Skate Park 33.380 33,400 (20) 80088 Tigertail Park Restrooms 'lO.000 80090 Electrical Upgrades lO0 I00 80091 lmmokalee Comm Center 250 300 {50'~ 80114 GG Fitness Center 633.152 633,100 52 80209 Lely Barefoot Beach 7,000 7.000 7.000 80214 Clam Pass Park 80527 Bleachers/Sage 156,000 156.000 156.000 80602 North Regional Park 2.040,600 2,040.600 80603 ENCP Picnic Shelters 40,000 40.000 40.000 45,000 80604 Corkscrew Ballfields .300,000 300.000 200,000 100,000 384.000 TBD Max Hasse Community Park 1,320,000 TBD GG Community Park Bike/Walk Path 400.000 TBD GGCC Land & Roller Hockey Rink 1.175.000 Subtotal County Parks: - 3.698.200 7,007,417 4.866.800 2.140.617 3,807,0bo Total Project Expenses: I 01 [ ~13.698.200I 7,007,4171 4,866,800} 2.140,617I 3,807,000I Reserves 700 700 10,900 3,436.800 949.100 362,200 TOTAL APPROPRIATIONS: { 700I 70oI 10,900 II 7,135.°°°17.956.5171 4.866.80o{ 2.140,617] 4,169.2001 Revenue: FY 99 FY 99 FY 00 FY 99 FY 99 FY 99 FY 00 Adopted Amended Budget Adopted Amended Forecast Budget Community Park Impact Fee 1.800,000 1.800.000 1.850.000 Bond/Loan Proceeds Interest 500 283,600 283,600 275,000 150,000 Carry Forward 700 700 10.400 5.155,600 5.977.117 6.768,500 4,026,700 Revenue Reserve ( 104,200) ( 104,200) (7,500) TOTAL REVENUE: 700 700 I 10.900 ${ 7.135.000 7.956.517 8.893,500 ~ 4.169,200 H-4 FY 99/00 PARKS CAPITAL Unincorporated Area Regional and Community Park Impact Fees (346) FY 99 Forecast/FY 00 Budget Appropriations: Combined Impact Fee Fund 346 FY 99 FY 00 Proj # Project Name Forecast Budget 80081 Sugden Park 350,000 80602 North Regional Park 700,000 TBD GGCC Land & Roller Hockey Rink Total Project Expenses: - 1,050,000 Transfer Debt Service 1.100,000 Reserves 3.961.700 TOTAL APPROPRIATIONS: 6.111.700 Revenue: FY 99 FY 00 Forecast Budget Transfer from (001 ) Combined Uninc. Park Impact Fee 1.300.000 5,000,000 Bond/Loan Proceeds Interest I 65,000 Carry Forward 1.300,000 Revenue Reserve (253,300) TOTAL REVENUE: 1,300.000 6.111,700 H-5 FY 99/00 PARKS CAPITAL FY 00 Budget - TDC Funded Projects Appropriations: County Parks: FY 00 Project # Project Name Proposed 80095 Btuebill/Vartderbilt Parking Lot 634,000 802 14 Clam Pass Utilities 400,000 80088 Togertail Boardwalk/Concessions 425,000 TOTAL APPROPRIATIONS: 1.459,000 Revenue: ~ FY 00 Proposed TDC Revenue 1.459,000 TOTAL REVENUE: { 1.459,000 H-6 Library Capital Funds Library Impact Fee Fund (355) Appropriations: FY 99 FY 99 FY O0 Adopted Amended FY 99 Requested Project Description Budget Budget Forecast Budget 00000 Eleclxonic Database Costs 50~00 5(L000 50,000 757000 00000 Library Pubs. & Periodicals 0 0 0 0 00000 Library Pubs. - AN & Non-Book 70,000 70.000 70,000 80,000 Dam Processing Equipment 23,000 23,000 0 0 00000 Library Pubs. - Microforms 0 0 0 0 00000 Books, Pubs &Library Materials 475,000 475.000 475,000 687,000 80254 Marco Island Library Improvements 0 56,038 56,100 0 80259 North Regional Library 50,700 369,200 331,900 20.000 Golden Gate Library Expansion 0 0 0 8.000 00000 Non-Project Expense 0 0 0 0 00000 Reftmds/Misc. 1.000 1,000 0 0 00000 Transfers Debt Service 308,800 308,800 308,800 1,000.400 00000 Reserves 979.500 661,000 0 628.100 Total Appropriations: 1.958.000 2.014.038 1.291.800 2,498.500 Revenue: Transfer from (001) 0 0 0 0 Impact Fees 811,200 811.200 1,210,000 1.010,000 InterestFMisc. 62, 100 62.100 82,500 40,000 Carry Forward 1'128.400 1,184,438 1,500,300 1.501,000 Loan Proceeds 0 0 0 0 Revenue Reserve {43,700} (43.700~ 0 (52,500~ Total Revenues: i'958'000 2.014,038 2,792.800 2.498,500 H-7 Emergency Medical Services E~IS Impact Fee Fund (350) FY 97;98 FY 98,99 FY 98/99 FY 99~00 % Actual Adopted Forecast Requested Budget Appropriations ExF,?,ev Bud~,et Ex~.Rev Bud_~et Chan~e Project/Cap. Exps 608,881 466,000 321,000 1,191,6C<} 155.7% Refunds/Misc. 0 9,000 0 0 -I00.0% Reserves 0 839,500 0 538_~t'X) -35.9% Total Appropriations 608,881 1,314_r'00 321,000 1,730J00 Revenue Impact Fees 636,301 400,000 500,000 500,(3(O 25.0°.-~, lntemst/Misc. 47j78 48,800 45,000 50,003 2.5% Carry Forward 629,700 886,800 983,600 I~07,6C0 36.2% Revenue Reserve 0 (21,100) 0 (27j00) 30.3°,/o Total Revenue 1313.579 1,314_r'00 1,528,600 1,730,100 31.6V0 Proposed Capital Ftmding for Pf 99;00 ProFaro . Budget Forecast P,e~lueslk"d Medium Duty Ambulances ( 1 ) 230,000 230,0CO I 15,000 AI~/BLS Coordinator (I) 0 0 30.000 Medical Equipment & Radios 120,000 75,0(~J 123.000 Av/ation R & M 16,000 16,0CO 48.600 Station 17 (Golden Gate Estate~ Station) I00,000 0 400.000 Station 19 (East Naples) 0 . . 0 400.000 .Miscellaneous EMS Equipment 0 0 75,000 · I 46e,,00o1 3:Looo1 agL 00l Projects Requested but not Recommended Station 20 (Pon of the Isles - Split Cost) 0 0 ~ 206.600' Medium DutyAmbulances(l) 0 0 115,000 Captains Cars (2) 0 0 60,000 Medical Equipment &Radios 0 0 12,000 .MisceLlaneous EMS Equipment 0 0 21,400 Total 0 0 ~ 408,400 H-8 PRJ DESCRiPTiON C[E# 313 3M 113 60031 IltthAwmue I[43,1Q0 I ~ I i 14~,100 6903 t Gobtin Gaa: Pkwl, 3 ~5.80a, 66o43 Immokalce gd 6 suo I 69101 lmn~kalee Rd i 35.000 2,303.000 I ! ,, ! 7...338.000 66o61 c~sss io j 65033 I~:lio Rd 13 I.~0 ! 65031 RadioRd 16 1.116,6~0 I I j 1,116,600 65021 ILetUcn~kc tta:T~TVX:k I1 3.800 i ',,X]~r I ! 10.800 6504l NN MSTU Rd 21 660.300 1353.000 i i J 2,613,300 6so4~ NN MSTU U 21 4.~o I I i 4.800 67021 Va~:ln~ilt Bch 23 { 30.000 216A00 j | I 246,1001 69061 V~iltBch :~' 3,000 601~3 Maim R=comaucuz 27 594.~oo I I i 594.50o 60021 BBchRd31 31 7L900 i I I 78,~o 60091 Saau, Bubara Blvd 32 426,700 J | ( 426,700 6010t Cc~m~/Bsm Road 33 300.000 J ~ t i 301,000 60171 Advanc~dROW 34 10~,QO0 i | j I00,000 65o~t CIL9Sl 37 6Otll PineR~elbad 41 1.6tL'm[ ! I i 1.6182,0o 65071 V~nch:~ih Sch 42 3~.0aQ t [ .... I t 3o.o~o 60071 Livinismu P,d 52 I..0~6,800 316.600 I 43L500 64X)61 Uvmglm RdP. J~Uo~P,.mG 53 :Z.4:22.~00 4.200.CO) 1 7.~9J00 ! I I 9.611.500 62031 Ab]x~Rd 53 4.900 3,11~0 ! I I Z. 115.400 62os, s,.. e,b.~ 56 w~soo I 6206i Uvinlsm6P, d $1 3.147,800 1.297,40~ j J | J 4,.I,40.200 62071 U.,dnlmuws IM SS 49~.t0g I.o0~0co [ I I ] 1.499.10G 61(X)5 Muir MiUp~on 60 53.00Q j I I 53,0~ 63o]1 c'~51 c~rKwv on 61 i I 1.cm i I I.o~ 63041 GGBIvd 62 1.461,700 J J .NqMI 1.861,~ 63051 Vand~bilt Bch 63 716,000 i J 0 716.000 eo134 C,~xucm, Rd 65 s3.~o~ SulHoul CIr Proletu: II .OU,;H)0 13,1N~1 L17ti~0 U i ~ I ar".,.~ll I )3,416,600 60141 Ont'~ Wik Man[nm~c N/A J.000 c~172 Tnmcsi~ N/A 713.9~0 , 61oo9 us41 si~.,na, N/A ssT.eoo I 66065 t.~Lm~ N/A s3tJO0 i ! i "1 557,20~ 66o66 s,q, s~,~ s,^ 4~o, ooo 4 } ! s ,~o.o~ 664361 ~ R~ad Bndi~ N/A 1,424,61XI J 125.5G0 , J 6~076 NejlJmbqxtxxad Traff~ N/A t05.QO0 J 690'71 MulU Ih3 MiU~umt N~A 20,000 I I I 20,000 69081 Biki Pm:bwe/I NJA 412,100 69115 CR951 Momu~n$ N/A IZ. gO0 j I I 12,000 6912: ShouxdaS~ Pm~ N/A 499,e00 I I I 4~.60o1 69323 Hua,mik~dMSTU N/A S.000 I I I ~.000 69133 PMm Rive. BIrd 9n~ N/A 94.~ I i i 94.3oo 69143 MillaBIvdSngty N/A J J l,(llll t.aooJ 69163 Napl~ Aiq~c~ N/A 5,0CO 691'73 ',V'nim BlvcL, CR95 t N/A 334,900 i J i ]34.9(3o 691l] Sladowlxs,vUavis N/A 162.4(30 J d i 162.400 69195 Atrp4x~ P~C. JG ~ N/A 195.4CO SubmUJ Noa-CIi: Pro|a: 6JO6J00 ~ Rtim~wi~n~ms 377,400 117.Cl33 15,000 I ~ I ~-J)Q d t,lll~ t 5,C1~ 577.4~0 Trtrdfc~ ~ setv~e 1.19'9,1X3(I I J I 1,199,000 R.rvcnue=. ln~-.~ 76].200 54~.g{20 23,1.400 ~ I IIILjOO JJ ~gCLI ~ 23.1Q{3 I Z.200 2,016.200 Rnrfl~ll 1.455.000 J ' j L-vcm~ Rncrve I T4Xil: 33..520.000 16J9~_0107.95~k6CQ LI3~II i · .v:q...~Q ~ I.~IL.II i,~lO ,46.9~069j31J00 H-9 Roads Capital Fnnds - F'Y 00 Requested FmKl~g FY00 PRJ DESCR[FTION CTI~# 313 331 333 334 3-~ 33 S 339 340 Requited 643031 IlltbAv~ue I36.OOO ~ J 36,000 i 69031 Gold~mC~ttlqavy 515,000 ~ I 15,00o ' 66042 [mm0ialee Rd 6 780,000 ~ J 780,000 t 69101 ImmdrJJe= Rd 8 7,094.300 ! I 7,094,300 65031 g. MioRd 16 2.g6,C00 I | 286,000 65041 NNMSTUIM 2[ 3,619,00(I I 1.619.000 69061 Vandcrbilt Bch 2~ 350,000 610.000 ~ i 960,000 60173 Ma~or ~ragn3o~ 27 600,000 { I 600,000 60021 BBchRd3l 81 I 7.003 i ~ 7,003 60091 5i'nea Barbara Bird 32: 1_7.10.200 1 | 1.210.300 60101 C, ou~ Barn Road 33 25,6,~OO I 250,200 60171 Adv~ctxiROW 34 ].CO0,0OO I I 1.000,000 63o~, c~sl a~ ~ i 3,~ s,ooo 60111 Pine Ridge Ro~l 4; 7.031.900 500,CC0 I j 7,531.900 60071 L.ivi~gsmn Rd :~2 IJ64.000 j I 1,364.000 60061 Livings~n Rd Radio'GG §3 l~t600 i | 198.600 62031 Aiqxa'tP, d .53 315.C00 300.000 ] I I ,61s5.000 6208| Sama Barbara 56 62061 Livingston Rt[ 57354,700 ! [ 334.700 62071 L~vmgmt~m R.d SS ?-~12.700 ! i ?,042,700 62021 ad~r, e~ 39 I i s.coo i s.ooo 6100.5 M&itetMi61~m 60 .53.000 ~ { 53.000 63031 CRg$I GGPKWY Dtt 61 ] I .5,~ I ~;,000 63041 GGnlvd 62 11,~41,900 I 4.1~O,000 1.5,641.900 630s, v,~ba, ed~ 63 ~t~o~ { i 28s.ooo 60134 Goa:Ucae R.d 6.5 .570,.500 { I 570~00 9e90~ OMUS4I 61 a 481,000 SmblmaJ CTK prejem: 32,920,0~ I 3.31&.IX30 60014 0,k~ Boulevard WA W.900~ e0015 W~alm~Aveme N/A 100,000 i 100.000 60016 MutlrTurnL.ane N/A 250,(~0 6(30 17 ~ SqMra~m N~A 2~).CeO I 350,000 60172 'l'r~]kSigu~ N/A 7.50,000 I ~50,000 63022 Cmeckm Pjver arid~e N/A IO. O00 { ! 10,000 66063 Turnia~e N/A 3~1.000 ~ Br~g Smaaute N/A 500.000 660~'; ~ Ro~ Bncl~ N/A 27.~00 15.000 ' i ~ 42,000 66076 Neigl~ud~odTm,~c N/A 150,000 ] I 130.000 69071 M..~ Pq Mi6pame N/A 20.00~ ' i 20,00O 69081 g~g putw~rs N/A 450,000 6911.5 C3_951 Mommrmg N/A I?,0OO 6911l GG MST~ N/A 6912.2 SbouJdetS~'ety ProI N/A 500.0OO 6912,3 Nuaten i MSTU N/A 69133 PaJmRivffglvdBndlc NYA 924.100 [ i 924,100 69143 Miller lh~ajna~l N/A i j 10,t~30 ] IO.000 69163 Na~htAUl~nAuthonty N/A 100.000 69173 W'ni~Blvd/C~951 N/A 500 { ! J 500 69183 Shodo~h'w~'Davu N/A 500 [ 69193 ~ R~Id/GG ~ N/A 26,000 Sub~4al Nee.-CIE ProJeeU: 6.21~,9eO 939,100 11.~1 Tool Projtrt ~:tpenses: 39,?.0~900 L,L~IO0 L~'33,100 IW 4 . ; ~I2D~O0 ~.GOO S0,329,100 TresfezDdol urnce t.0tS.600 Total: 4L',~I,_~ 4~94~00 ~ 3.OI1.300 { S,4ql,la0t i L31I~,II I ~Zd~72A20049,100 63.135.600 Rarveu~. ~ Tax 1 x .os?, I oo ~ts 1,272.600 t H-IO Road Assessments Receivable Fund (341) FY 97/98 FY 98/99 lq' 9g 99 FY 99. 00 % Actual Adopted Fo~-x Cruxmat Budget Appropriation Unit Exp;Rev Budget F_x-r~ R..~- Service Cha~.e Operating 0 0 0 0 N;A Transfers 0 0 124.700 0 XA Reserves 0 924,400 0 995.900 7.7% Total Appropriations 0 924,400 124.700 995.9(10 7.7% Revenues: Reimbursements 0 0 9.,)0,0 100.000 X.A Carry Forward 0 878,500 91~_2-00 826.600 -5.9% Transfers 0 0 0 24.70(} N,A InteresvMisc. 0 48,300 30.(](]O 47.000 -2.77~ Revenue Reserve 0 (2,400) 0 (2.-I-00} N;A Total Revenues 0 924,400 951_'-0(} 995.9~ 7.~ H-11 Wiggins Pass Dredging Public Works Engineering Department (304) FY 97/98 FY 98/99 FY 98/99 1~' 99 O0 F~' 99 00 FY 9'9, O0 % Actual Adopted Forecast C~t Expanded Total Budget . Appropriation Unit Exp/Rev Bud~.et Exp/Rev Service Service Bx/s.e~ Chan.~e Operating Expenses 100 100 100 0 0 0 -100.0% Capital Outlay 0 0 0 0 0 0 N 'A Transfers 0 0 0 0 0 0 N;A Reserves 0 93,000 0 96.600 0 96.600 3.9% Total Appropriations 100 93, 100 100 96.600 0 96.600 3.8% Revenues Grant DNR 0 0 0 0 0 0 N.'A Interest/Mist. 5,153 4,900 3,800 4.000 0 4.,XIO -18.4% Tourist Tax 0 0 0 0 0 0 Carry Forward 0 88,500 89, 100 9~S00 0 9~_'300 4.9% Revenue Reserve 0 (300) (200} 0 ~200) -33.3% Total Revenues 5,153 93,100 92,900 96.600 0 96.600 3.8% H-12