Agenda 09/23/2010 B
AGENDA
BCC
BUDGET
MEETING
September 23, 2010
Memorandum
To:
Board of County Commissioners (BCe)
From:
Mark Isackson, Director of Corporate Financial & Management Services _
County Manager's Office
Date:
September 17,201 0
Subject:
FY 2011 Final Budget Public Hearing Documents
Attached are the documents for the final FY 2010-11 Budget public hearing scheduled for
September 23, 2010 at 5:05 p.m.
Pursuant to Florida statutes defining the annual truth in millage process (TRIM), an
advertisement for this hearing was published in the Naples Daily News on Monday, September
20, 2010. The hearing was also announced at the first public hearing on September 9, 2010
and was contained within the resolution (2010-159) approving the tentative millage rates and
budget passed by the Board of County Commissioners on July 27,2010.
No changes to the millage rates as tentatively adopted by the BCC on September 9, 2010 are
proposed. Further amendments to the tentative budget are contained within separate fund
resolutions and reflect previous BCC actions, customary year end project fund budgeting
adjustments and other routine budget revisions considered minor in nature.
In the interim, if you have any questions, please contact me at your convenience.
cc: Leo Ochs
Division Administrators
OMS Staff
Office of Management and Budget
COlliER COUNTY
BOARD OF COUNTY COMMISSIONERS
AGENDA
Thursday, September 23, 2010, 5:05 p.m.
NOTICE:
ALL PERSONS WISHING TO SPEAK ON ANY AGENDA ITEM MUST
REGISTER PRIOR TO SPEAKING.
ANY PERSON WHO DECIDES TO APPEAL A DECISION OF THIS BOARD
WILL NEED A RECORD OF THE PROCEEDINGS PERTAINING THERETO,
AND THEREFORE MAY NEED TO ENSURE THAT A VERBATIM RECORD OF
THE PROCEEDINGS IS MADE, WHICH RECORD INCLUDES TESTIMONY
AND EVIDENCE UPON WHICH THE APPEAL IS TO BE BASED.
ALL REGISTERED PUBLIC SPEAKERS WILL BE LIMITED TO THREE (3)
MINUTES UNLESS PERMISSION FOR ADDITIONAL TIME IS GRANTED BY
THE CHAIRMAN.
1. PLEDGE OF ALLEGIANCE
2. ADVERTISED PUBLIC HEARING - Collier County FY2010-11 Budget
A. Discussion of FY 2010-11 Millage Rates and Increases Over the Rolled Back Millage
Rates
B. Discussion of Further Amendments to the Tentative Budget
C. Public Comments and Questions
D. Resolution to Amend the Tentative Budgets
E. Public Reading of the Taxing Authority Levying Millage, the Name of the Taxing
Authority, the Rolled-Back Rate, the Percentage Increase, and the Millage Rate to be
Levied.
F. Adoption of Resolution Setting Millage Rates. Note: A separate motion is required for
the Dependent District millage rates and a separate motion is required for the remaining
millage rates.
G. Resolution to Adopt the Final Budget by Fund. Note: A separate motion is required for
the Dependent District budgets and a separate motion is required for the remaining
budgets.
3. ADJOURN
Exhibit A
________________ _.,__,_, _________________ _ _________..... ___ c o1!I~r_,.9_~ u n~_y, __J:!_o ri ~ ~__ ___om' ____________, ___ _ ____________
r- .'-_______~__~_____ " ____~_,__n____~~.~__~~operty .Tax Ratf:!~~_."____"_____,__".________,
FY 2011 Proposed
Prior Year
Millage
Fund Title Fund No. Rate
General Fund 001 3.5645
--------~-~,- '" ^-_._----------_._-~~-~_...--- - ----_..~-------_.- ----------_....__._~_..._-, --------~-_...- ..~
Water Pollution Control 114 0.0293
Rolled Back Proposed
Millage Millage
Rate Rate
4.0900 3.5645
0.0337 0.0293
0/0 Change Frm.
Rolled Back
-12.850/0
-13.060/0
3.5938
4.1237
3.5938
-12.850/0
_U n i n co-rp_~i!!~d~~~~~_~e ~~:ra I -~:~!l~~__==_-'"-'-.----~_ ~___j}~1~_nn ___=~~-~. 71_'~-1-- ~_~.,~~O 2 r-----...O. 7161 r------" ,__ -_::~~!~?_?~~
~~l!!~.!!_~~_!_~~.~_~~,~_~.~!~~_<? e nte_~_"". ,,__ ________n_ ,__ _____1_~_~_ ___~ .1791 _ n __ _ o. 235_~_ __ ____0.1990 _ -15.46%
,~!9!~~_~!l_ Park Drainage _____. ._____n_n_________._"____ 134 __ _ n _______~.06~~_, r----~.-Qr~~r_----. 0.0500 -32.070/0
~~.E_~~~___~~~~~ra i ~_~~~_____ _ .. ____________,_ n___~ __1_~__m ________Q_~Q~~,~ _ 'n__ _ ______~._~. ~ 1_ 2___ __________Q~__~_Q ~O -19.640/0
Vanderbilt Beach MSTU 143 0.4716 0.5297 0.5000 -5.610/0
--------------,---- -----------, ----------.----.---- -.,,--. -- - -- ___________._'__n.____"'n___________ ___n________ _ ___n__ _ ___ _______ ____ __ ______ _______________ _
~!~-~!--~~p-~-~--"~-~,~~".. '" .._, _____________'n.. 144 1.8990 2.3827 2.0000 -16.060/0
9~_~~.p~,~ Fire Control . ,,------ -------1"-~._6'n..--- -----4~(i(>'oor---5-~-0348--r------4-._c)OOO -20.550/0
~~_I!i_~~__ Co u nty Fire ____ . ,_ '.nu-:_:'---- ."'.._.'_n_ ._.".. ___ _~'_~ ~':--"--'1--48,,_" _.______ 2.0000 __",,,,_:=__:"---3 .115 i- ~-n-~_' "2-~(iOOO ---,-~:'__'_~_' - --3_~.~~~_~-~_
Goodland Fire MSTU 149 1.2760 1.4645 1.2760 -12.870k
g'abaf"Palm Road MSTU -..-".--------~---.--"'--. ----1~ ----~"'(j'~8918r----n--"3-.2028 0.1000 --""----96.880k
____________~____n___.~_~________.,,_ - _,,_. ---.- .___. ....-, _ ____ __ ",,__ ".___.____ _.___ _____-.___n" _________ _________n___'_
Golden Gate Parkway Beautification 153 0.5000 0.7221 0.5000 -30.760/0
~~~~fica~~~~ ..~ __~52 ~~ i]~~~~~~~==~-~~-~2.80~
tiawksri~Q_!::~~~~~~_~~~_~__~ump.~_!:1_9.,~~!~ 154 _ __ ________Q_~1_~~~_ ________~_._1.,~!~ _ 0.0500 -60.820/0
Radio Road Beautification 158 0.2521 0.2949 0.2949 0.000/0
--- ,---.-.--"' - --- .._____n -....,,________ ______",........._____ _~.__,,__,___._ n________.".'_w_________ __________________,,______ __________________________,,_
Forest_~~_~_~~~~~~~~y~J?_~~i,~~fJn~____~_~Tl!_______ 'n_____~_?_~__ ___ ,.-1,.-~.~~-e_-- 1.3974 0.2606 ________ ~~_~__~~~!!
Immokalee Beautification MSTU 162 1.0000 0.9166 0.9166 0.000/0
- -~------------- --- - -- ---- r--------------- ,,---------- ______np____." ". ,__ ___~___ ________ __. _. ,,_ _ __ __ ____n_________
_~_~y~_~~_~~~~~}~~__~~,~~!i,~i,,~~tio~________ 163 1.7892 2.1577 2.1577 0.000/0
!I a I d ema n Creek D red gin~. _ _____________" __~_-_-~--:~" ~~~~~_!64 ,,- n_'_~ ~------~-.I~ ~=--=- m,,,,,Q. 6-5"6-4- -----_-~~65-6~ _______ _, _______.Q_=-~Q_!~
Rock Road 165 2.6243 3.6355 3.0000 -17.480/0
Ril-Cilo-Roa-d Ea-si---MSTU--------.--------m-'.n-n------ ---166 -,,--,-- --------- 0.0000 --.-------------O.OOOCj"- -----.--(l4400 ---.. N/A
----- ---"'..-----.-----,..-- --_.._--,.------~- -~,,-,-- , --------._----,,-- --------------------------.
Conservation Collier 172 0.1206 0.1387 0.1008 -27.330/0
--,---.---------- -,------". ,,,- -,,-----..------------------..----- ---_._-~._-- -------.,,--.
Forest Lakes Debt Service 259 2.8437 3.4367 3.7394 8.810/0
-------------,--.-------------.----- ----~--------- - - -- ------__ ____ __ _______ _______n_______~ ___ _____________n______ _____
Co~~~ry~tio ~~_oll i~!....~~!!~~.!~_i_~~__(~~_Q_~__ 272 _ Q~Q~~,~___ ____~~Q_~~~__ _~~!~~___ -0.580/0
~~~~~~~tio.!!...~~J_lier Deb!_~!~~,~~_J~_~~8 L__ __,__, ___,27,~._________ __~~O~~~_ ____n___ 0 .O_~_~,Q,". n_____ 0 .063~_ ______n __________~__.~_~!'~
Collier County Lighting 760 0.1108 0.1356 0.1356 ..._____Q~!lJ!
Pel'fcan .Bay MSTBU- -----,----.--- 778 -.- 0.0531 0.0555 0.0531 -4.320/0
Aggregate Millage Rate
4.2870
4.9264
4.2596
-13.540/0
N~GE~TEM .
SEP 2 3 201U
Pg
Collier County, Florida
Property Tax Dollars
FY 2011 Proposed
Prior Year Current Year Proposed
Fund Adjusted Tax Rolled Back Tax 0/0 Change
Fund Title No. Dollars Tax Dollars Dollars Frm. Rolled Back
General Fund 001 245,238,656 252,934,188 220,436,164 -12.850/0
Water Pollution Control 114 2,050,319 2,084,079 1,811,974 .13.060/0
247,288,975 255,018,267 222,248,138 -12.850/0
Unincorporated Area General Fund 111 31,322,337 32,299,323 27,528,618 ..14.770/0
Golden Gate Community Center 130 361,424 380,109 321,333 -15.460/0
Victoria Park Drainage 134 1 ,834 1,834 1,246 .32.060/0
Naples Park Drainage 139 10,185 10,278 8,259 .19.640/0
Vanderbilt Beach MSTU 143 975,499 1,063,519 1,003,888 .5.610/0
Isle of Capri Fire 144 1,336,317 1,337,395 1,122,588 -16.060/0
Ochopee Fire Control 146 1,682,964 1,694,684 1,346,376 -20.550/0
Collier County Fire 148 528,228 528,922 339,521 -35.810/0
Goodland/Horrls Island Fire MSTU 149 111,367 111,313 96,985 -12.87010
Sabal Palm Road MSTU 151 43,345 43,636 1 ,362 -96.880/0
Lely Golf Estates Beautification 152 239,834 240,094 209,351 -12.800/0
Golden Gate Parkway Beautification 153 398,653 401,558 278,049 -30.760/0
Hawksridge Stormwater Pumping MSTU 154 7,358 7,357 2,883 .60.810/0
Radio Road Beautification 158 306,134 307,745 307,745 0.000/0
Forest lakes Roadway & Drainage MSTU 159 203,965 204,113 38,065 .81.350/0
Immokalee Beautification MSTU 162 312,373 364,015 364,015 0.000/0
Bayshore Avalon Beautification 163 877,997 883,899 883,899 0.000/0
Haldeman Creek Dredging 164 51,484 51,486 51,486 0.000/0
Rock Road 165 37,344 37,674 31,089 -17.480/0
Radio Road East MSTU 166 0 0 153,263 N/A
Conservation Collier 172 8,439,196 8,577,499 6,233,684 ..27.330/0
Forest lakes Debt Service 259 501,614 501,985 546,199 8.810/0
Conservation Collier Debt Service (2005) 272 5,220,265 5,306,052 5,275,131 .0.580/0
Conservation Collier Debt Service (2008) 273 3,834,726 3,896,052 3,951,710 1.430/0
Collier County lighting 760 567,488 576,544 576,544 0.000/0
Pelican Bay MSTBU 778 285,317 285,579 273,230 -4.320/0
Total Taxes Levied 304,946,223 314,130,932 273,194,657
Aggregate Taxes 295,389,618 304,426,843 263,421,617
AGENDA 'TEM
No. &'1\
SEP 2 3 2U.'U
Pg =: ~
-A
Collier County, Florida
Taxable Property Values
For FY 2011
Prior Year Current Year Current Year
Fund Gross Adjusted Gross 0/0
Fund Title No. Taxable Value Taxable Value Taxable Value Change
Countv Wide Taxable Values
General Fund 001 69,976,749,096 60,845,240,553 61,842,099,698 -11.620/0
Water Pollution Control 114 69,976,749,096 60,845,240,553 61,842,099,698 -11.620/0
Dependent Districts and MSTU's
Unincorporated Area General Fund 111 44,314,951,279 37,690,807,626 38,442,421,826 -13.250/0
Golden Gate Community Center 130 2,018,001,134 1,535,539,567 1,614,738,656 -19.980/0
Victoria Park Drainage 134 28,084,789 24,908,514 24,917,726 -11.280/0
Naples Park Drainage 139 1,131,672,107 910,928,877 917,641,829 -18.910/0
Vanderbilt Beach MSTU 143 2,068,,487,415 1,841,659,662 2,007,775,559 -2.940/0
Isle of Capri Fire 144 703,695,113 560,832,067 561,294,064 - 20.24 0/0
Ochopee Fire Control 146 420,740,913 334,266,310 336,594,027 -20.000/0
Collier County Fire 148 264,113,999 169,537,226 169,760,317 -35.720/0
Goodland/Horr's Island Fire MSTU 149 87,278,588 76,044,446 76,007,445 -12.910/0
Sabal Palm Road MSTU 151 48,604,428 13,533,730 13,624,253 -71.970/0
Lely Golf Estates Beautification 152 119,917,030 104,560,566 104,675,491 -12.710/0
Golden Gate Parkway Beautification 153 797,305,507 552,049,679 556,097,624 -30.250/0
Hawksridge Stormwater Pumping MSTU 154 60,857,613 57,641,913 57,658,797 -5.260/0
Radio Road Beautification 158 1,214,337,046 1,037,964,128 1,043,556,076 -14.060/0
Forest Lakes Roadway & Drainage MSTU 159 176,394,909 145,959,956 146,066,013 -17.190/0
Immokalee Beautification MSTU 162 312,372,928 340,804,999 397,136,116 27.140/0
Bayshore Avalon Beautification 163 490,720,489 406,908,21 7 409,648,806 -16.520/0
Haldeman Creek Dredging 164 102,968,754 78,432,985 78,436,768 -23.820/0
Rock Road 165 14,230,196 10,272,063 10,362,946 -27.180/0
Radio Road East MSTU 166 0 341,988,349 348,324,543 N/A
Conservation Collier 172 69,976,749,096 60,845,240,553 61,842,099,698 -11.620/0
Forest Lakes Debt Service 259 176,394,909 145,959,956 146,066,013 -17.190/0
Conservation Collier Debt Service (2005) 272 69,976,749,096 60,845,240,553 61,842,099,698 -11.620/0
Conservation Collier Debt Service (2008) 273 69,976,749,096 60,845,240,553 61,842,099,698 -11.620/0
Collier County Lighting 760 5,121,728,442 4,184,133,922 4,251,797,568 -16.990/0
Pelican Bay MSTBU 778 5,373,199,299 5,137,345,298 5,145,569,473 -4.240/0
N~G~ ITEM
SEP 2 3 tutU
Pg .3
SUMMARY OF CHANGES
TO THE FY 2011 AMENDED PROPOSED BUDGET
FUND TITLE/(NUMBER)
General Fund (001)
Immokalee Redevelopment Fund (186)
County Water/Sewer District Operations Fund
( 408)
County Water/Sewer District Debt Service
Fund (410)
Water Impact Fees Capital Projects Fund (411)
Water User Fees Capital Projects Fund (412)
County Sewer System Development Capital
Fund (413)
County Water-Sewer Capital 2006 Bond Fund
(415)
Solid Waste Capital Projects Fund (474)
NET CHANGE TO
AMENDED TENT A TIVE
FUND TOTAL
NOTES
$0 The State just recently released the elected official
salaries and a small adjustment was needed. Also in
the Commissioners cost center, there was a vacancy
and now that it is filled, another adjustment was
needed. Both adjustments totaled $2,800
$0
Pursuant to BCC action on March 9, 2010 to approve
the creation of the Immokalee Business Development
Center, reserves were reduced and an expense
appropriation made in the amount of $90,000.
$0 Reduce Transfers to the Water Sewer Debt Service
Fund (410) in the amount of $65,200, the allocation
of funding the debt service payment changed when
the BCC approved item 16Cl on 9/14/2010.
($3,792,900) Adjustments were made to the transfer accounts due
to a State Revolving Loan (SRF) loan agreement
amendment reducing the loan down by $1,334,900;
not receiving a new $4 million SRF Loan agreement
in fy 2011; and due to the reallocation of projects
within the 2006 bond fund - effecting the funding
source for the debt service payments.
($4,000,000) In an effort to spend down the 2006 bond money,
projects were moved into the 2006 Bond fund (415)
as approved by the Bee on 9/14, item 16Cl, creating
a reallocation of funding for the debt service payment.
Also, a new $4 million SRF Loan will not be received
in FY 2011.
($1,334,900) Adjustments were made to the transfer accounts due
to a State Revolving Loan (SRP) loan agreement
amendment reducing the SRF Loan by $1,334,900.
$0 In an effort to spend down the 2006 bond money,
proj ects were moved into the 2006 Bond. fund (415)
as approved by the BCC on 9/14, item 16Cl, creating
a reallocation of funding for the debt service payment.
($608,800) In an effort to spend down the 2006 bond money,
proj ects were moved into the 2006 Bond fund as
approved by the BeC on 9/14, item 16Cl.
($682,000) On 7/27, the BCC approved item 10C to move money
out of the reserves into a capital project, also reduced
the forecast for interest income. '. AGE.~~ ITEM
No.
SEr> 2 3 2010
Pg ---1
SUMMARY OF CHANGES
TO THE FY 2011 AMENDED PROPOSED BUDGET
FUND TITLE/(NUMBER)
Airport Authority Capital Fund (496)
Airport Authority - Immokalee Capital
Improvements Fund (497)
Airport Authority Grant Match Fund (499)
Total
NET CHANGE TO
AMENDED TENT A TIVE
FUND TOTAL
$191,000
($102,200)
$191,000
($10,138,800)
NOTES
Various grant projects were reduced and the match
for these grants needed to be transferred to the
Airport Grant Fund 499 to properly account for these
grants.
The BeC approved several budget amendments for
various capital improvements in FY 2010.
In fund 496, various grant projects were reduced and
the match for these grants was transferred to the
Airport Grant Fund 499.
AGENDA ITEM
No~
SEP 2 3 2010
Pg Ot
1----
BUDGET RESOLUTION
CHANGES TO THE FY 2011 TENTATIVE BUDGET
GENERAL FUND (001)
Tentative FY 11 0/0
Amended FY 11 Changes Amended Budget
Aoorooriation Unit Budllet Increase (Decrease) Budllet Chanlle
County Commissioners 1,098,200 2,800 1,101,000 0.3% Per State - Adj Comm Sals & new hire
Other General Administrative 7,197,000 0 7,197,000 0.0%
COWlty Attorney 2,930,700 0 2,930,700 0.0%
Airport Operations (495) 527,000 0 527,000 0.0%
Sub-Total 11,752,900 11,755,700 0.0%
Management Offices 1,957,100 0 1,957,100 0.00/0
Enlergency Services 3,973,900 0 3,973,900 0.00/0
Administrative Support Services 17,243,400 0 17,243,400 0.0%
Public Services 28,079,000 0 28,079,000 0.0%
Growth Management 1,662,500 0 1,662,500 0.0%
Sub- Total COWlty Manager 52,915,900 52,915,900 0.0%
Courts & ReI Agencies 518,000 0 518,000 0.0%
Various Transfers 0 0 0 N/A
Trans to 178 0 0 0 N/A
Trans to 681 1,199,200 0 1,199,200 0.0%
Sub- Total Courts 1,717,200 1,717,200 0.0%
Impact Fee Deferral- PUD (002) 0 0 0 N/A
Road & Bridge (101) 12,971,400 0 12,971,400 0.0%
MSTD General (111) 155,700 0 155,700 0.0%
Landscaping (112) 0 0 0 N/A
Comm Development (113) 0 0 0 N/A
RSVP (116) 0 0 0 N/A
Services for Seniors (123/708) 52,700 0 52,700 0.00/0
Immokalee Redevelopment (186) 383,400 0 383,400 0.0%
Gateway Triangle (187) 1,089,000 0 1,089,000 0.0%
800 MHz (188) 542,400 0 542,400 0.00/0
CAT (426) 554,300 0 554,300 0.0%
Transportation Disadvantage (427) 1,800,900 0 1,800,900 0.00/0
EMS (490) 11,316,100 0 11,316,100 0.0%
IT transfer (505/506) 0 0 0 N/A
Emergency Mgt Grants (714) 15,900 0 15,900 0,0%
Sub-Total 28,881,800 28,881,800 0.0%
Reserve for Cash Flow 9,000,000 0 9,000,000 0.0%
Balancing number 0 0 0 N/A
Reserve for Contingencies (1.97%) 5,213,000 (2,800) 5,210,200 -0.1%
Sub-Total Reserves 14,213,000 14,210,200 0.0%
Transfers Debt/Capital
Sales Tax Bonds (210) 2,512,600 0 2,512,600 0.0%
Sales Tax Bonds (215) 1,044,100 0 1,044,100 0.0%
2005 Sales Tax Bonds (216) 3,187,800 0 3,187,800 0.0%
Comm Paper Loans (299)(298) Bond 823,600 0 823,600 0.0%
Co Wide Capital (301) 9,527,100 0 9,527,100 0.0%
Parks CIP (306) 0 0 0 N/A
Roads CIP (313) 13,735,000 0 13,735,000 0.0%
Museum CIP (314) 0 0 0 N/A
Stormwater Operations (324) 876,400 0 876,400 0.0%
Stonnwater Mgmt (325) 5,273,900 0 5,273,900 0.0%
Sub-Total Debt/Capital 36,980,500 36,980,500 0.0%
Transfers/Constitutional Officers
Clerk of Courts 5,009,900 0 5,009,900 0.0%
Clerk of Courts - BeC Paid 482,400 0 482,400 0.0%
Property Appraiser 5,337,000 0 5,337,000 0.0%
Property Appraiser -BCC Paid 96,700 0 96,700 0.0%
Sheriff 136,054,900 0 136,054,900 0.0%
Sheriff - Debt Service (385) 1,700,000 0 1,700,000 0.0%
Sheriff - Bee Paid 3,998,100 0 3,998,100 0.0%
Supervisor of Elections 3,082,300 0 3,082,300 0.00/0
Supervisor of Elections - BCC Paid 36,800 0 36,800 0.0%
Tax Collector 13,000,000 0 13,000,000 0.0%
Tax Collector - Bee Paid 192,300 0 192,300 0.0%
Sub-Total/Trans Const. 168,990,400 168,990,400 0.0%
AGENDA ITEM
Total Fund Appropriations 315,451,700 0 315,451,700 0.00/0 No. ~B
SEP 23 2U1U
9/16/20105:35 PM Pg 3
BUDGET RESOLUTION
CHANGES TO THE FY 2011 TENT A TIVE BUDGET
GENERAL FUND (001)
--~~-~~~---------~~~~~~-----------------~~~-~~--------------------------
-~~--~----~------------~~~~~-~----~-~------~------------------------
Tentative FY 11 %
FY 11 Changes Amended Budget
Revenues Budget Increase (Decrease) B udl!et Chanl!e
Current Ad Valorem Taxes 220,436,100 0 220,436,100 0.00/0
Delinquent Ad Valorem Taxes 800,000 0 800,000 0.0%
Fish And Wildlife Refuge Rev Sharing 350,000 0 350,000 0.0%
Federal Payment In Lieu Of Taxes 700,000 0 700,000 0.0%
State Revenue Sharing 7,048,500 0 7,048,500 0.0%
Insurance Agents County Licenses 80,000 0 80,000 0,0%
Alcoholic Beverage Licenses 155,000 0 155,000 0,0%
Local Government Half Cent Sales Tax 25,400,000 0 25,400,000 0.0%
Oil/Gas Severance Tax 145,000 0 145,000 0.0%
Water Management / Big Cypress Basin 0 0 0 N/A
Enterprise Fund PILOT 3,877,200 0 3,877,200 0.0%
Interest Tax Collector 25,000 0 25,000 0.0%
Rent Golden Gate Pub Safety Complex 16,800 0 16,800 0.0%
Indirect Cost Reimbursement 6,472,700 0 6,472,700 0.0%
Miscellaneous Revenue 15,000 0 15,000 0.0%
Sub- Total 265,521,300 265,521,300
Department Revenues 10,178,700 0 10,178,700 0.0%
Sub-Total General Revenues 275,700,000 275,700,000
Uninc Area MSTD General Fd (111) 302,800 0 302,800 0.0%
Cormnun Develop (113) 85,900 0 85,900 0.0%
Pollution Control (114) 8,300 0 8,300 0.0%
Tourist Development - Beach (195) 164,600 0 164,600 0.0%
Museum TDC (198) 0 0 0 N/A
Debt SeIVice Fund (220) 266,700 0 266,700 0.0%
Road Construction (313) 232,300 0 232,300 0.0%
Gen Gov't Fac Impact Fee (390) 0 0 0 N/A
Water Sewer Operating (408) 283,200 0 283,200 0.0%
Solid Waste Disposal (470) 43,200 0 43,200 0.0%
Mandatory Collection (473) 51,200 0 51,200 0.0%
Property & Casualty (516) 0 0 0 N/A
Workers Comp (518) 850,000 0 850,000 0.0%
Board Interest 600,000 0 600,000 0.0%
Clerk of Circuit Court 0 0 0 N/A
Tax Collector 6,000,000 0 6,000,000 0.0%
Sheriff 0 0 0 N/A
Property Appraiser 150,000 0 150,000 0.0%
SupeIVisor of Elections 0 0 0 N/A
Carryforward 44,318,500 0 44,318,500 0.0%
Neg 5% Revenue ReseIVe (13,605,000) 0 (13,605,000) 0.0%
Total Other Sources 39,751,700 39,751,700
Total Fund Revenues 315,451,700 0 315,451,700
AGENDA ITEM
No.
SEP 2 3 2U1U
Pg~
9/16/20105:35 PM
BUDGET RESOLUTION
CHANGES TO THE FY 20 11 TENTATIVE BUDGET
IMMOKALEE REDEVELOPMENT CRA FUND (186)
-------------------------------------------------------------------------
-------------------------------------------------------------------------
Tentative FY 11 %
Amended FY 11 Changes Amended Budget
Appropriation Unit Budget Increase (Decrease) Budget Change
Personal Services 280,000 70,000 350,000 25.0%
Operating Expenses 217,500 20,000 237,500 9.2%
Indirect Cost Reimbursement 34,600 0 34,600 0.0%
Capital Outlay 200,000 0 200,000 0.0%
Grants and Aid 200,000 0 200,000 0.0%
Reserves for Contingencies 75,000 0 75,000 0.0%
Reserves for Capital 738,000 (90,000) 648,000 -12.2%
Total Appropriation 1 ,745, 100 0 1,745,100 0.0%
Revenues
InterestlMiscellaneous Revenues 5,000 0 5,000 0.0%
Transfer from General Fund (001) 383,400 0 383,400 0.0%
Transfer from MSTD General Fund (111) 77,000 0 77,000 0.0%
Carryforward 1,280,000 0 1,280,000 0.0%
Revenue Reserves (300 ) 0 (300) 0.0%
Total Revenues 1 ,745, 100 0 1,745,100 0.0%
Pursuant to Bee action on March 9,2010 (Item 14A) to approve the creation of the Immokalee Business
Development Center.
9/16/20105:35 PM
AGENDA ITEM
No. ~e
SEP 2 3 ZU'IU
Pg S
BUDGET RESOLUTION
CHANGES TO THE FY 2011 TENTATIVE BUDGET
WATER SEWER OPERATING FUND (408)
=====================================================
Tentative FY 11 0/0
Amended FY 11 Changes Amended Budget
Appropriation Unit Budget Increase (Decrease) Budget Change
Personal Services 24,488,600 0 24,488,600 0.0%
Operating Expenses 27,162,200 0 27,162,200 0.0%
Indirect Cost Reimbursement 1,489,400 0 1,489,400 0.0%
Payment in Lieu of Taxes 3 ,778, 1 00 0 3,778,100 0.0%
Capital Outlay 937,800 0 937,800 0.00/0
Net Operating Budget 57,856,100 0 57,856,100 0.0%
Trans to General Fund 283,200 0 283,200 0.0%
Trans to 410 W/S Debt Service Fd 9,705,200 (65,200) 9,640,000 -0.70/0
Trans to 412 W User Fee Cap Fd 13,052,600 0 13,052,600 0.0%
Trans to 414 S User Fee Cap Fd 30,456,100 0 30,456,100 0.0%
Reserves for Contingencies 5,456,800 65,200 5,522,000 1.2%
Reserves for Cash Flow 11,564,600 0 11,564,600 0.0%
Total Budget 128,374,600 0 128,374,600 0.0%
Revenues
Charges for Services 2,008,800 0 2,008,800 0.0%
Water Revenue 43,000,000 0 43,000,000 0.0%
Sewer Revenue 50,000,000 0 50,000,000 0.0%
Effluent Revenue 2,710,000 0 2,710,000 0.00/0
Fines & Forfeitures 15,000 0 15,000 0.0%
Miscellaneous Revenues 453,500 0 453,500 0.00/0
Interest/Mise 240,000 0 240,000 0.0%
Reimb From Other Depts 14,600 0 14,600 0.0%
Trans fin 114 Pollution Ctrl Fd 55,100 0 55,100 0.0%
Trans fin 409 W/S Assessment Fd 17,600 0 17,600 0.0%
Trans fm 441 Goodland Water 82,200 0 82,200 0.0%
Trans fm 470 Solid Waste Fd 260,400 0 260,400 0.0%
Trans fm 473 Mand Collet Fd 1,211,000 0 1,211,000 0.0%
Carry Forward 33,227,700 0 33,227,700 0.00/0
Negative 5% Revenue Reserve (4,921,300) 0 (4,921,300) 0.0%
Total Revenues 128,374,600 0 128,374,600 0.0%
On 9/14/10, the BCC approved item 16Cl. This item requested the BCC to authorize budget amendments in the amount of
$631,000 to spend down the last of the 2006 Revenue Bond proceeds on Lift Station Improvement projects. The debt service
payments are divided between 3 funding source depending on the nature of the projects, growth vs non-growth, water vs sewer.
Spending the last of the Bond money shifted the funding sources between non-growth, water impact fees, and sewer impact fees.
AGE~DA ITEM
No. t
SEP 2 3 20"10
to
9/]6/20]05:35 PM
Pg
BUDGET RESOLUTION
CHANGES TO THE FY 2011 TENTATIVE BUDGET
COUNTY WATER SEWER DEBT SERVICE FUND (410)
============================================================================================
ChanQ:es in Non-Proiect Expenditures
Debt Service - Principal
Debt Service ~ Interest
Transfer Out to 412 Water Capital
Transfer Out to 412 Water Capital
Transfer Out to 411 Water Impact Fee
Reserve for Debt Service
Total Non-Project Expenses
Tentative FY 11 %
Amended FY 11 Changes Amended Budget
BudQ:et Increase (Decrease) BudQ:et ChanQ:e
80,000 0 80,000 0.0%
30,000 0 30,000 0.0%
12,000 0 12,000 0.0%
11,915,400 (89,600) 11,825,800 -0.80/0
9,783,100 (17,600) 9,765,500 ~0.20/0
12,800 0 12,800 0.00/0
17,000 0 1 7,000 0.00/0
4,000,000 (4,000,000) 0 -100.0%
0 368,000 368,000 N/A
19,758,400 (53,700) 19,704,700 -0.3%
300,000 0 300,000 0.0%
45,908,700 (3,792,900) 42,115,800 -8.3%
150,000 0 150,000 0.0%
4,000,000 (3,632,000) 368,000 -90.8%
9,705,200 (65,200) 9,640,000 -0.7%
5,607,000 (89,200) 5,517,800 -1.6%
5,624,500 ( 6,500) 5,618,000 -0.1%
20,829,500 0 20,829,500 0.0%
(7,500) 0 (7,500) 0.0%
-
45,908,700 (3,792,900) 42,115,800 -8.3%
Forecast Tentative Budget
FY10 ChanQ:es FYl1 ChanQ:es
0 (89,600) BCC approved 9/14/10, item 16C2
0 (17,600) BCC approved 9/14/10, item 16C2
(1,334,900) o BCCapproved 9/14/10, item 16C2
(368,000) 368,000 SRF Proceeds expected in FY 11
0 (4,000,000) no longer expecting a new SRF loan
0 (53,700) BCC approved 9/14/10, item 16C2
(1,702,900) (3,792,900)
Aporooriation Unit
Operating Expenses
Arbitrage Services
Debt Service
Debt Service - Principal
Debt Service - Interest
Transfer to Property Appraiser
Transfer to Tax Collector
Transfer to 411 Water Impact Fee
Transfer to 412 Water Capital Fund
Reserve for Debt Service
Reserve for Capital
Total Appropriation
Revenues
Interest / Mise Revenues
Loan Proceeds
Transfer from 408 Water Sewer Fund
Transfer from 411 Water Impact Fee
Transfer from 413 Sewer Impact Fee
Carryforward
Revenue Reserves
Total Revenues
ChanQ:es in Revenue BudQ:ets
Loan Proceeds
Loan Proceeds
Loan Proceeds
Transfer from 408 Water Sewer Op Fund
Transfer from 411 Water Impact Fee Fund
Transfer from 413 Sewer Impact Fee Fund
Total Revenue changes
(1,334,900)
(368,000)
o
o
o
o
(1,702,900)
BCC approved 9/14/10, item 16C2
368,000 SRF Proceeds expected in FY 11
(4,000,000) no longer expecting a new SRF loan
(65,200) BCC approved 9/14/10, item 16Cl
(89,200) BCC approved 9/14/10, item 16Cl
(6,500) Bec approved 9/14/10, item 16Cl
(3,792,900)
Total Carry forward FYl1 (decrease) increase
o
On 9/14/10, the BeC approved item 16Cl. This item requested the BCC to authorize budget amendments in the amount of$631,000 to spend down the
last of the 2006 Revenue Bond proceeds on Lift Station Improvement projects. The debt service payments are divided between 3 funding source
depending on the nature of the projects, growth vs non-growth, water vs sewer. Spending the last of the Bond money shifted the funding sources between
non~growth, water impact fees, and sewer impact fees.
On 9/14/10, the Bec approved item 16C2. This item requested the Bee to approve Amendment 2 to the State Revolving Fund (SRF) Loan Agreement,
reducing the authorized loan amount by $1,334,909. The project was completed under budget therefore not all the SRF Loan proceeds were needed.
Debt Service reserve requirements and the semiannual debt service payments were also reduced. This loan is to be paid back with Water/Sewer
Operating (non-growth) money.
AGENDA ITEM
No. ~f>
SEP 2 3 lUlU
I
9/16/20105:35 PM
Pg
"~"~"'C.:.~
BUDGET RESOLUTION
CHANGES TO THE FY 2011 TENTATIVE BUDGET
COUNTY WATER SYSTEM DEVELOPMENT CAPITAL FUND (411)
===============================================================================================
Chan2:es in Non-Prolect Exoenditures
Transfer Out to 410 Debt Service
Reserve for Capital
Total Non-Project Expenses
Tentative FY 11 %
Amended FY 11 Changes Amended Budget
B ud2:et Increase (Decrease) Bud2:et Chan Q:e
222,500 0 222,500 0.00/0
5,607,000 (89,200) 5,517,800 -1.60/0
200,000 0 200,000 0.0%
9,896,600 (3,910,800) 5,985,800 -39.5%
-
15,926, 100 (4,000,000) 11,926,100 -25.1%
100,000 0 100,000 0.00/0
2,800,000 0 2,800,000 0.0%
4,000,000 (4,000,000) 0 -100.0%
9,171,100 0 9, 1 71 , 1 00 0.0%
(145,000) 0 (145,000) 0.0%
15,926,100 (4,000,000) 11,926,100 w25.1 %
Forecast Tentative Budget
FYI0 Changes FY 11 Chan2:es
0 (89,200) BCC approved 9/14/10, item 16Cl
0 (3,910,800)
0 (4,000,000)
Aoorooriation Unit
Operating Expenses
Transfer to 410 Debt Service Fund
Reserve for Contingencies
Reserves for Capital
Total Appropriation
Revenues
Interest / Mise Revenues
Impact Fees
Transfer from 410 Debt Service
Carryforward
Revenue Reserves
Total Revenues
ChanQ:es in Revenue Bud2:ets
Transfer from 410 Debt Service
Total Revenue changes
o
o
(4,000,000) no longer expecting a new SRF loan
(7,910,800)
Total Carry forward FY 11 (decrease) increase
o
On 9/14/10, the BCC approved item 16C1. This item requested the BCC to authorize budget amendments in the amount of$631,000 to spend down the
last of the 2006 Revenue Bond proceeds on Lift Station Improvement projects. The debt service payments are divided between 3 funding source depending
on the nature of the projects, growth vs non-growth, water vs sewer. Spending the last of the Bond money shifted the funding sources between non-growth,
water impact fees, and sewer impact fees.
AGENDA ITEM
NO.~
SEP 2 3 2010
8
9/16/20105:35 PM
Pg
BUDGET RESOLUTION
CHANGES TO THE FY 2011 TENTATIVE BUDGET
COUNTY WAATER CAPITAL PROJECTS FUND (412)
========================================================================================
Revenues
Interest 1 Misc Revenues
Transfer from 408 Water Sewer Operating
Transfer from 410 Debt Service
Carryforward
Revenue Reserves
Total Revenues
Tentative FY 11 0/0
Amended FY 11 Changes Amended Budget
Budget Increase (Decrease) Budget Change
0 0 0 NIA
6,887,500 0 6,887,500 0.0%
344,400 0 344,400 0.0%
25,577,800 (1,334,900) 24,242,900 -5.20/0
32,809,700 (1,334,900) 31,474,800 -4.1%
300,000 0 300,000 0.0%
13,052,600 0 13,052,600 0.0%
0 368,000 368,000 N/A
19,472,100 (1,702,900) 17,769,200 -8.7%
(15,000) 0 (15,000) 0.00/0
32,809,700 (1,334,900) 31,474,800 -4.10/0
Forecast Tentative Budget
FY 10 Changes FY11 Changes
0 (1,334,900) BCe approved 9/14/1 0, item 16C2
0 (1,334,900)
Aporooriation Unit
Operating Expenses
Capital Outlay
Reserves for Contingencies
Reserves for Capital
Total Appropriation
Changes in Non-Proiect Exoenditures
Reserve for Debt Service
Total Non-Project Expenses
Changes in Revenue Budgets
Transfer From 410 Debt Service
Transfer From 410 Debt Service
(1,334,900)
(368,000)
(1,702,900)
o BeC approved 9/14/10, item 16C2
368,000 SRF Proceeds expected in FY 11
368,000
Total Revenue changes
Total Carry forward FYIl (decrease) increase
(1,702,900)
On 9/14/10, the BCC approved item l6C2. This item requested the Bee to approve Amendment 2 to the State Revolving Fund (SRF) Loan Agreement,
reducing the authorized loan amount by $1,334,909. The project was completed under budget therefore not all the SRF Loan proceeds were needed.
Therefore this money needs to be deleted from the budget.
AGENDA ITEM
No. d.B
SEP 2 3 ZUiH)
Pg~...-
9/16/20105:35 PM
BUDGET RESOLUTION
CHANGES TO THE FY 2011 TENTATIVE BUDGET
COUNTY SEWER SYSTEM DEVELOPMENT CAPITAL FUND (413)
========================================================================================
Aoorooriation Unit
Operating Expenses
Capital Outlay
Transfer to 410 Debt Service
Reserve for Contingencies
Reserves for Capital
Total Appropriation
Tentative FY 11 %
Amended FY 11 Changes Amended Budget
Budget Increase (Decrease) Budget Change
395,000 0 395,000 0.0%
0 0 0 N/A
5,624,500 (6,500) 5,618,000 -0.1%
300,000 0 300,000 0.00/0
5,299,300 6,500 5,305,800 0.1%
] ] ,618,800 0 11,618,800 0.0%
Revenues
Interest I Misc Revenues
Impact Fees
Transfer from 414 Sewer Capital
Carryforward
Revenue Reserves
Total Revenues
50,000
2,800,000
5,500,000
3,411,300
(142,500)
11,618,800
o
o
o
0'
o
o
50,000
2,800,000
5,500,000
3,411,300
(142,500)
11,618,800
0.00/0
0.00/0
0.00/0
0.00/0
0.00/0
0.0%
Forecast
FY10 Changes
Tentative Budget
FY11 Changes
Changes in Non-Prolect Exoenditures
Transfer to 410 Debt Service
Reserve for Capital
Total Non-Project Expenses
o
o
o
(6,500) BCC approved 9/14110, item 16Cl
6,500
o
Total Carry forward FYII (decrease) increase
o
On 9/14/10, the BCC approved item 16C 1. This item requested the BCC to authorize budget amendments in the amount of $63 ] ,000 to spend down
the last of the 2006 Revenue Bond proceeds on Lift Station Improvement projects. The debt service payments aredivided between 3 funding source
depending on the nature of the projects, growth vs non-growth, water vs sewer. Spending the last of the Bond money shifted the funding sources
between non-growth, water impact fees, and sewer impact fees.
9/16/20105:35 PM
AGENDA ITEM
No. M'~-B
SEP 2 3 lUlU
I Pg -10
BUDGET RESOLUTION
CHANGES TO THE FY 2011 TENTATIVE BUDGET
COUNTY WATER SEWER CAPITAL FUNDED BY 2006 BOND FUND (415)
============================================================================================
Tentative FY 11 %
Amended FY 11 Changes Amended Budget
Appropriation Unit Budget Increase (Decrease) Budget Change
Operating Expenses 0 0 0 N/A
Capital Outlay 0 0 0 N/A
Reserves 608,800 (608,800) 0 -100.0%
-
Total Appropriation 608,800 (608,800) 0 -100.00/0
Revenues
InterestlMisc 6,000 0 6,000 0.0%
Carryforward 603,100 (608,800) (5,700) -100.9%
Revenue Reserves (300) 0 (300) 0.0%
T ota] Revenues 608,800 (608,800) 0 -100.0%
Forecast
FYI0 Changes
Tentative Budget
FYll Changes
Changes in Proiect Expenditure Budgets
Lift Station Improvements Proj 72549
Total Project Changes
631,000
631,000
BCC approved 9/14110, item 16Cl
o
Changes in Non-Protect Expenditures
Reserves for Contingencies
Total Non-Project Expenses
Proj 99339
o
o
(608,800)
(608,800)
Changes in Revenue Budgets
Interest
Total Revenue changes
22,200
22,200
updated estimate
o
Total Carry fonvard FYll (decrease) increase
(608,800)
On 9/14/10, the BCC approved item 16Cl. This item requested the BCC to authorize budget amendments in the amount of $631 ,000 to spend
down the last of the 2006 Revenue Bond proceeds on Lift Station Improvement projects.
A~~€ ITEM
No.
SEP 2 3 201U
11
9/16/20105:35 PM
Pg
BUDGET RESOLUTION
CHANGES TO THE FY 2011 TENTATIVE BUDGET
SOLID WASTE CAP IT AL IMPROVEMENTS FUND (474)
=======================================================================~============
T entati ve FY 11 %
Amended FY 11 Changes Amended Budget
Appronriation Unit Bud2:et Increase (Decrease) Bud2:et Chan 2:e
Personal Services 0 0 0 N/A
Operating Expenses 0 0 0 N/A
Indirect Cost Reimbursement 0 0 0 N/A
Capital Outlay 5,059,000 0 5,059,000 0.0%
Grants and Aid 0 0 0 N/A
Reserve for Contingencies 252,900 (62,500) 190,400 ~24.70/0
Reserve for Capital 619,500 (619,500) 0 -100.0%
~ - ~
Total Appropriation 5,931,400 (682,000) 5,249,400 -11.5%
Revenues
Intergovernmental Revenues 0 0 0 N/A
Interest 1 Misc Revenues 60,000 0 60,000 0.0%
Transfer from 470 Solid Waste Fd 3,899,000 0 3,899,000 0.0%
Transfer from 473 Mandatory Collection 1 , 140,000 0 1 , 140,000 0.0%
Transfer from Bayshore MSTU (163) 0 0 0 N/A
Transfer from Haldeman Creek MSTU (164) 0 0 0 N/A
Carryforward 835,400 (682,000) 153,400 ~81.60/0
Revenue Reserves (3,000) 0 (3,000) 0.00/0
~
Total Revenues 5,931,400 (682,000) 5,249,400 -11.5%
Forecast Tentative Budget
FYI0 Chan2:es FY 11 Chan2:es
Chan2:es in Prolect Expenditure Bud2:ets
Airspace Recovery Proj 59015 (300,000) BAIO~350, BCC approved 7/27/10, item IOC
North Naples Recycling Center Proj 70013 974,000 BAIO~350, BCC approved 7/27/10, item IOC
Total Project Changes 674,000 0
Chan2:es in Non-Prolect Expenditures
Reserve for Contingencies Proj 99474 0 (62,500)
Reserves for Capital Proj 99474 0 (619,500)
Total Non-Project Expenses 0 (682,000)
Chan2:es in Revenue Bud2:ets
Interest Proj 99474 (8,000) updated estimate
Total Revenue changes (8,000) 0
Total Carry forward FYI1 (decrease) increase (682,000)
9/16/20105:35 PM
r AGENDA ITEM
No. ~ "f>
SEP 2 3 LUlU
l.-fg --'-~
BUDGET RESOLUTION
CHANGES TO THE FY 20 11 TENTATIVE BUDGET
AIRPORT AUTHORITY CAPITAL FUND (496)
==================~=========================================================================
Appropriation Unit
Operating Expenses
Capital Outlay
Transfer to 499 Airport Grant Match Fund
Reserve for Cash Flow
Total Appropriation
Tentative FY 11 %
Amended FY 11 Changes Amended Budget
Budget Increase (Decrease) Budget Change
0 0 0 N/A
0 0 0 N/A
0 191,000 191,000 N/A
250,000 0 250,000 0.0%
250,000 191,000 441,000 76.4%
Revenues
Intergovernmental Revenues
Interest / Misc Revenues
Transfer from General Fund (001)
Carryforward
Revenue Reserves
Total Revenues
o
o
o
250,000
o
250,000
o
o
o
191,000
o
191,000
o
o
o
441,000
o
441,000
N/A
N/A
N/A
76.40/0
N/A
76.4%
Forecast
FY10 Changes
Tentative Budget
FY 11 Changes
Changes in Proiect Expenditure Budgets
Various Grants
Total Project Changes
(4,666,900)
(4,666,900)
o
Changes in Non-Proiect Expenditures
Transfer to 499 Airport Grant Match Fd
Total Non-Project Expenses
Proj 99496
o
o
191,000
191,000
Changes in Revenue Budgets
Intergovernmental Revenues
Interest
Total Revenue changes
various grants
(4,471,500)
(4,400)
(4,475,900)
o
Total Carry forward FYl1 (decrease) increase
191,000
Fund 496 is the Airport's Grants/Capital fund. Since the new Grant Management System in SAP has been activated, it was
decided to move all the grants which had no activity to the new Grant fund 499 so all the transactions could be recorded in
the Grants system. To start this process, the $191,000 in General Fund match will be transferred to the new grant fund so
next year, the Airport can reappropriate this match to all their respective grants.
AGENDA ITEM
NO,~
SEP 2 3 2010
Pg~~
9/16/20105:35 PM
BUDGET RESOLUTION
CHANGES TO THE FY 2011 TENTATIVE BUDGET
AIRPORT AUTHORITY IMMOKALEE CAPITAL FUND (497)
============================================================================================
Appropriation Unit
Operating Expenses
Capital Outlay
Reserve for Contingencies
Total Appropriation
Revenues
Charges for Services
Intergovernmental Revenues
Interest 1 Misc Revenues
Carryforward
Revenue Reserves
Total Revenues
Changes in Proiect Exoenditure Budgets
Immokalee ERP Phase II
Immokalee ERP Phase II
Immokalee ERP Phase IIA
Total Project Changes
Changes in Non-Proiect Exoenditures
Transfer to 499 Airport Grant Match Fd
Reserve for Contingencies
Total Non-Project Expenses
Changes in Revenue Budgets
Interest
Total Revenue changes
Total Carry forward FYll (decrease) increase
9/16/20105:35 PM
Tentative FY 11 0/0
Amended FY 11 Changes Amended Budget
Budget Increase (Decrease) Budget Change
0 0 0 N/A
0 0 0 N/A
417,300 (102,200) 3 15,1 00 -24.5%
-
417,300 (102,200) 315,1 00 -24.5%
93,700
o
o
328,300
(4,700)
417,300
o
o
o
(102,200)
o
(102,200)
93,700
o
o
226,100
(4,700)
315,1 00
Forecast
FYI0 Changes
Tentative Budget
FYll Changes
Proj 50073
Proj 50073
Proj 50074
13,600
41,550
12,050
67,200
Proj 99497
Proj 99497
35,000
o
35,000
o BCC approved 3/23/10, item 16C5
(102,200)
(102,200)
Proj 99497
o
o
(102,200)
o . 00.ic:l
N/A
N/A
-31.10/0
0.00/0
-24.5%
BCC approved 6/22/10, item 16CI
BCC approved 7/27/10, item 16C2
BCC approved 7/27/10, item 16C2
o
updated estimate
o
AGENDA ITEM
No. ~B
SEP 2 3 2010
J~g~r
BUDGET RESOLUTION
CHANGES TO THE FY 2011 TENTATIVE BUDGET
AIRPORT AUTHORITY GRANT MATCH FUND (499)
======~====~~=====~===============================================~~========================
Tentative FY 11 %
Amended FY 11 Changes Amended Budget
Appropriation Unit Budget Increase (Decrease) Budget Change
Operating Expenses 0 0 0 N/A
Capital Outlay 0 0 0 N/A
Reserve for Contingencies 0 191,000 191,000 N/A
Total Appropriation 0 191,000 191,000 N/A
Revenues
Intergovernmental Revenues 0 0 0 N/A
Interest / Misc Revenues 0 0 0 N/A
Transfer from Airport Capital Fund (496) 0 191,000 191,000 N/A
CarryfolWard 0 0 0 N/A
Revenue Reserves 0 0 0 N/A
Total Revenues 0 191,000 191,000 N/A
Fund 496 is the Airport's Grants/Capital fund. Since the new Grant Management System in SAP has been activated, it was
decided to move all the grants which had no activity to the new Grant fund 499 so all the transactions could be recorded in
the Grants system. To start this process, the $191,000 in General Fund match will be transferred to the new grant fund so
next year, the Airport can reappropriate this match to all their respective grants.
9/16120105 :35 PM
AGENDA ITEM
NO.~
SEP 2 3. 2U-tU
Pg.. IS
i-..- ~,~^"'_
RESOLUTION NO. 2010-
A RESOLUTION AMENDING THE TENTATIVE BUI)GETS
FOR FY 2010-11
WHEREAS, Section 200.065, Florida Statutes, provides the procedure for fixing the
millage rates; and
WHEREAS. Section 129.03. Florida Statutes, sets forth the procedure for preparation
and adoption of the budget; and
WHEREAS, the Board of County Commissioners has received and examined the
tentative budgets for each of the County's funds; and
WHEREAS, the Board of County Commissioners has prepared a statement
summarizing all of the adopted tentative budgets which includes for each. budget. the name of
each taxing authority levying millage. the rolled-back rate. the percentage. increase, the millage
rate to be levied, the balances, the reserves and the total of each major dassification of receipts
and expenditures; and
WHEREAS, on July 27, 2010, the Board of County Commissioners adopted Resolution
2010-159 approving the County's proposed ~iJlage rates and setting the pUblic hearings for
adoption of the final millage rates; and
WHEREAS~ pursuant to Section 200.065, Florida Statutes, an advt;!rtised public hearing
was held on September 9, 2010, at 5:05 p.m. and Resolution No. 2010-161 was adopted by the
Board of County Commissioners adopting the tentative millage rates and a. Resolution 2010-162
was adopted by the Board of County Commissioners adopting the tentative budgets for FY
2010-11; and
WHEREAS~ a second advertised public hearing was held on September 23, 2010, at
5:05 p.m. to finalize the FY 2010-11 Budget and to adopt the millage rates in accordance with
Sections 129.03 and 200.065, Florida Statutes.
NOW. THEREFORE, BE IT RESOLVED BY THE BOARD OF COUNTY
COMMISSIONERS OF COLLIER COUNTY, FLORIDA, that:
The amendments as set forth in Exhibit "An, attached hereto and incorporated herein,
are hereby adopted and amend the adopted Tentative Budgets for FY 2010-11 pursuant to
Sections 129.03 a,nd 200.065. Florida Statutes.
N~~N~:f)TEM
SEP 2 3 201(J
Pg ----I
This resolution adopted this 23m day of September 2010, after motion, second and
majority vote.
DATED:
DWIGHT E. BROCK, Clerk
BOARD OF COUNTY COMMISSIONERS
COLLIER COUNTY, FLORIDA
By:
Fred W. Coyle, Chairman
AGENDA ITEM
No. ~
SEP 2 3 2010
Pg =- ~
RESOLUTION NO. 2010-
A RESOLUTION ADOPTING THE MILLAGE RATES
TO BE LEVIED FOR FY 2010-11
WHEREAS, Section 200.065, Florida Statutes, provides the prOcedure for fixing the
millage rates; and
WHEREAS, Section 129.03, Florida Statutes, sets forth the procedure for preparation
and adoption of the budget; and
WHEREAS, the Board of County Commissioners has received and examined the
tentative budgets for each of the County's funds; and
WHEREAS, the Board of County Commissioners has prepared a statement
summarizing aU of the adopted tentative budgets which includes for each budget, the name of
each taxing authority levying millage, the rolled-back rate, the percentage increase, the millage
rate to be levied, the balances, the reserves and the total of each major classification of receipts
and expenditures; and
WHEREAS, on July 27,2010, the Board of County Commissioners adopted Resolution
2010-159 approving the County's proposed millage rates and setting the public hearings for
adoption of the final millage rates; and
WHEREAS, pursuant to Section 200.065, Florida Statutes, an advertised publiC hearing'
was held on September 9, 2010, at 5:05 p.m. and Resolution No. 2010-161 was adopted by the
Board of County Commissioners adopting the tentative millage rates and a Resolution 2010-162
was adopted by the Board of County Commissioners adopting the tenlative budgets for FY
2010-11; and
W'HEREAS, PURSUANT TO Section 200.065, Florida Statutes,: a second advertised
public hearing was held on September 23,2010, at 5:05 p.m. to finalize the FY 2010-11 Budget
and to adopt the millage rates in accordance with Sections 129.03 and 200.065, Florida
Statutes.
NOW, THEREFORE, BE IT RESOLVED BY THE BOARD OF COUNTY
COMMISSIONERS OF COLLIER COUNTY, FLORIDA, that:
The millage rates as set forth in Exhibit 'lAB, attached hereto and incorporated herein, are
hereby adopted as millage rates for FY 2010-11 pursuant to Sections -129.03 and 200.065,
Florida Statutes.
-
I N~G~~ ITEM~ -
SEp.2 3 2010
-PgJ
This resolution adopted this 23n1 day of September 2010, after' motion, second and
majority vote.
DATED:
DWIGHT E. BROCK. Clerk
BOARD OF COUNTY COMMISSIONERS
COLLIER COUNTY, F~OR'DA
By:
Fred W. COyfe, Chatman
AGENDA ITEM
No. .~
SEP 2 3 2010
~
Pg
Exhibit A
Collier County, Florida
Property Tax Rates
FY 2011 Proposed
Prior Year Rolled Back Proposed
Millage Millage Millage % Change Frm.
Fund Title Fund No. Rate Rate Rate Rolled Back
General Fund 001 3.5645 4.0900 3.5645 -12.85%
Water Pollution Control 114 0.0293 0.0337 0.0293 -13.06%
3.5938 4.1237 3.5938 -12.85%
Unincorporated Area General Fund 111 0.7161 0.8402 0.7161 -14.77%
Golden Gate Community Center 130 0.1791 0.2354 0.1990 -15.46%
Victoria Park Drainage 134 0.0653 0.0736 0.0500 -32.07%
Naples Park Drainage 139 0.0090 0.0112 0.0090 -19.640/0
Vanderbilt Beach MSTU 143 0.4716 0.5297 0.5000 -5.61%
Isle of Capri Fire 144 1.8990 2.3827 2.0000 -16.06%
Ochopee Fire Control 146 4.0000 5.0348 4.0000 -20.55%
Collier County Fire 148 2.0000 3.1157 2.0000 -35.81%
Goodland Fire MSTU 149 1.2760 1.4645 1.2760 -12.87%
Sabal Palm Road MSTU 151 0.8918 3.2028 0.1 000 -96.88%
Golden Gate Parkway Beautification 153 0.5000 0.7221 0.5000 -30.76%
Lely Golf Estates Beautification 152 2.0000 2.2937 2.0000 -12.80%
Hawksridge Stormwater Pumping MSTU 154 0.1209 0.1276 0.0500 -60.82%
Radio Road Beautification 158 0.2521 0.2949 0.2949 0.00%
Forest Lakes Roadway & Drainage MSTU 159 1.1563 1.3974 0.2606 -81.35%
Immokalee Beautification MSTU 162 1.0000 0.9166 0.9166 0.00%
Bayshore Avalon Beautification 163 1.7892 2.1577 2.1577 0.00%
Haldeman Creek Dredging 164 0.5000 0.6564 0.6564 0.00%
Rock Road 165 2.6243 3.6355 3.0000 -17.48%
Radio Road East MSTU 166 0.0000 0.0000 0.4400 N/A
Conservation Collier 172 0.1206 0.1387 0.1008 -27.33%
Forest Lakes Debt Service 259 2.8437 3.4367 3.7394 8.81 %
Conservation Collier Debt Service (2005) 272 0.0746 0.0858 0.0853 -0.58%
Conservation Collier Debt Service (2008) 273 0.0548 0.0630 0.0639 1.43%
Collier County Lighting 760 0.1108 0.1356 0.1356 0.00%
Pelican Bay MSTBU 778 0.0531 0.0555 0.0531 -4.32%
Aggregate Millage Rate 4.2870 4.9264 4.2596 -13.54%
N~GE~~TEM
SEP 2 3 lUlU
Pg .3
Exhibit A
Collier County, Florida
Property Tax Dollars
FY 2011 Proposed
Prior Year Current Year Proposed
Fund Adjusted Tax Rolled Back Tax 0/0 Change
Fund Title No. Dollars Tax Dollars Dollars Frm. Rolled Back
General Fund 001 245,238,656 252,934,188 220,436,164 -12.85%
Water Pollution Control 114 2,050,319 2,084,079 1,811,974 -13.06%
247,288,975 255,018,267 222,248,138 -12.85Ok
Unincorporated Area General Fund 111 31,322,337 32,299,323 27,528,618 -14.770/0
Golden Gate Community Center 130 361 ,424 380,109 321,333 -15.460/0
Victoria Park Drainage 134 1 ,834 1,834 1,246 -32.06Ok
Naples Park Drainage 139 1 0, 185 10,278 8,259 -19.64%
Vanderbilt Beach MSTU 143 975,499 1,063,519 1,003,888 -5.610/0
Isle of Capri Fire 144 1,336,317 1,337,395 1,122,588 -16.06%
Ochopee Fire Control 146 1,682,964 1,694,684 1,346,376 -20.55010
Collier County Fire 148 528,228 528,922 339,521 -35.81 ok
Goodland/Horr's Island Fire MSTU 149 111,367 111,313 96,985 -12.870/0
Sabal Palm Road MSTU 151 43,345 43,636 1,362 -96.880/0
Lely Golf Estates Beautification 152 239,834 240,094 209,351 -12.800/0
Golden Gate Parkway Beautification 153 398,653 401,558 278,049 -30.76Ok
Hawksridge Stormwater Pumping MSTU 154 7,358 7,357 2,883 -60.81 %
Radio Road Beautification 158 306,134 307,745 307,745 0.00%
Forest Lakes Roadway & Drainage MSTU 159 203,965 204, 113 38,065 -81.350/0
Immokalee Beautification MSTU 162 312,373 364,015 364,015 0.000/0
Bayshore Avalon Beautification 163 877,997 883,899 883,899 0.00010
Haldeman Creek Dredging 164 51,484 51,486 51,486 0.00%
Rock Road 165 37,344 37,674 31,089 -17.480/0
Radio Road East MSTU 166 0 0 153,263 N/A
Conservation Collier 172 8,439,196 8,577,499 6,233,684 -27.33%
Forest Lakes Debt Service 259 501,614 501,985 546,199 8.81 %
Conservation Collier Debt Service (2005) 272 5,220,265 5,306,052 5,275,131 -0.58Ok
Conservation Collier Debt Service (2008) 273 3,834,726 3,896,052 3,951,710 1.430/0
Collier County Lighting 760 567,488 576,544 576,544 0.000/0
Pelican Bay MSTBU 778 285,317 285,579 273,230 -4.320/0
Total Taxes Levied 304,946,223 314,130,932 273,194,657
Aggregate Taxes 295,389,618 304,426,843 263,421,617
AGEfplTEM
No.
SEP 2 3 2010
pg~
RESOLUTION NO. 2010-
A RESOLUTION ADOPTING THE FY 2010-11 FINAL BUDGET
WHEREAS, the Board of County Commissioners of Collier County, Florida, has held an
advertised public hearing on September 23, 2010 to finalize the FY 2010-11 Budget and Adopt
the millage rates in accordance with Sections 129.03 and 200.065, Florida Statutes.
NOW, THEREFORE, BE IT RESOLVED BY THE BOARD OF COUNTY
COMMISSIONERS OF COLLIER COUNTY, FLORIDA, that the attached list of Budgets by
Fund is hereby adopted for FY 2010-11.
This Resolution adopted this 23rd day of September, 2010, after motion, second and
majority vote.
DATED:
DWIGHT E. BROCK, Clerk
BOARD OF COUNTY COMMISSIONERS
COLLIER COUNTY, FLORIDA
By:
Fred W. Coyle, Chairman
Approved as to form
And legal uffi ency
N~GE~t7EM
SEP 2 3 2U'1U
\
Pg
Collier County, Florida
Fiscal Year 2010/2011 !
Summary of Budget by Fund
FY 09/10 FY 10/11 %
Fund Adopted Amended Budget
Fu nd Title No. Budget Budget Change
General Fund
General Fund (001) 334,297,700 315,451 ,700 -5.640/0
Utility Impact Fee Deferral Program (002) 187,500 0 -100.00%
Emergency Disaster (003) 500,000 500,000 0.000/0
Constitutional Officer Funds:
Clerk of Circuit Court (011 ) 7,408,500 7,327,000 -1 . 1 00/0
Sheriff (040) 143,215,700 136,054,900 -5.000/0
Property Appraiser (060 ) 6,552,400 6,552,300 O.Oook
Tax Collector (070) 19,338,100 19,296,600 -0.210/0
Supervisor of Elections (080) 3,252,300 3,085,100 -5.14%
Supervisor of Elections (081 ) 0 0 N/A
Subtotal Constitutional Officers 179,767,000 172,315,900 -4.14%
Special Revenue Funds
Transportation (101) 22,327,700 19,686,600 -11.830/0
Right of Way Permitting (102) 0 292,600 N/A
Impact Fee Administration (107) 627,000 809,100 29.040/0
Pelican Bay MSTBU (109) 4,165,400 3,483,000 -16.380/0
MSTD General Fund (111) 50,855,600 42,445,900 -16.540/0
MSTD Landscaping Projects (112) 65,200 113,000 73.310/0
Comm. Development (113) 8,040,400 8,786,700 9.280/0
Water Pollution Control (114) 3,833,900 3,903,500 1.820/0
Sheriff Grants (115) 2,439,500 881 ,200 -63.88%
Miscellaneous Grants ( 116) 133,700 0 -100.00%
Natural Resources Grants ( 117) 0 0 N/A
Emergency Management Grants (118) 69,000 0 -100.00%
Parks & Recreation Grants (119) 414,000 0 -100.000/0
Urban Improvement Grants (121) 0 0 N/A
Services for Seniors (123) 196,400 123,000 -37.370/0
Metro Planning-MPO (128) 5,000 5,000 0.000/0
Library Grants ( 1 29) 200,000 0 -100.000/0
Golden Gate Community Center MSTU ( 1 30) 1,277,800 1,181,300 -7.550/0
Planning Services (131) 4,993,600 3,097,100 -37.980/0
Pine Ridge Industrial Park Capital ( 132) 436,000 748,100 71.580/0
Victoria Park Drainage (134 ) 36, 1 00 50,400 39.610/0
Naples Production Park Capital ( 1 38) 356,700 613,200 71.910/0
Naples Park Drainage (139) 39,800 49,900 25.380/0
Pine Ridge Industrial Park Maintenance ( 140 ) 16,700 1 ,200 -92.810/0
Naples Production Park Maintenance (141) 17,000 25,900 52.350/0
Pine Ridge Industrial Park (142) 1,738,300 1,783,000 2.570/0
Vanderbilt Beach MSTU ( 143 ) 5,333,100 6,031,500 13.100/0
Isle of Capri Fire & Rescue (144) 1,844,100 1,736,800 -5.82%
Ochopee Fire Control District (146) 2,231,300 1,867,100 -16.32%
Collier County Fire Control (148) 543,200 336,200 -38.110/0
Goodland/Horr's Isle Fire Dist. (149) 114,700 103,700 -9.590/0
Sabal Palm Roadway (151 ) 246,600 204,300 -17.150/0
Lely Beautification (152) 597,800 652,200 9.100/0
G.G. Parkway Beautification ( 153 ) 1,661,500 1,819,800 9.530/0
Hawksridge Pump System (154 ) 44, 1 00 66,000 49.660/0
Radio Road Beautification (158) 835,100 667,100 -20.120/0
Forest Lakes Road & Drainage (159) 4,409,700 4,333,200 -1.730/0
N~GE~ITEM
SEP 2 3 lUlU
Pg a
Collier County, Florida
Fiscal Year 2010/2011
Summary of Budget by Fund
Fu nd Title
Immokalee Beautification MSTU
Bayshore/Avalon Beautification MSTU
Haldeman Creek MSTU
Rock Road MSTU
Radio Road East Beautification MSTU
Adoption Awareness
Teen Court
Conservation Collier
Driver Education
Conservation Collier Maintenance
Juvenile Assessment Center
Court IT Fee
Domestic Animal Services Donations
Court Maintenance Fund
TDC Beach Park Facilities
Tourism Marketing
Immokalee Redevelopment
Bayshore/Gateway Triangle eRA
800 MHz Fund
Wireless E-911
Miscellaneous Florida Statutes
SHIP
Public Guardianship
Tourist Development
Tourist Development
Tourist Development
Economic Disaster Recovery
Museum
E-911 System
Human Services Grant Match
Public Services Grant Match
Bureau of Emergency Services Grant Match
Subtotal Special Revenue Funds
2002 Capital Improvements Rev Bonds
Gas Tax Bonds
State Infrastructure Bank (SIB) Loan
2003 Sales Tax Bonds
2005 Sales Tax Revenue Bonds
2003, 2003, 2005 Sales Tax Rev Bds Reserve
Caribbean Gardens G.O. Bond
Naples Park Assessment Bonds
Pine Ridge! Naples Industrial Park
Forest Lakes G.O. Debt Service
Conservation Collier G.O. Debt
Conservation Collier G.O. Debt
Bayshore CRA Letter of Credit
2010 Special Obligation Bonds
Commercial Paper
Subtotal Debt Service Funds
Fund
No.
FY 09/10
Adopted
Budget
FY 10/11
Amended
Budget
Special Revenue Funds (Cant-d)
( 162)
( 1 63)
(164 )
(165)
( 166)
(170)
(171)
( 172)
(173)
(174)
(175)
(178)
(180)
(181)
(183 )
(184)
( 1 86)
(187)
(188)
(189)
(190)
(191 )
(192)
(193 )
( 194 )
(195)
( 196)
(198)
( 1 99)
(708)
(710)
(714)
903,800
3,411,500
81,500
37,200
o
23,000
95,400
10,827,800
403,600
19,229,000
59,300
852,100
58,900
546,100
5,808,400
3,978,600
2,750,700
5,932,900
1,142,900
o
47,400
o
282,800
557,600
1,440,300
17,592,200
1,500,000
1,673,300
1,256,700
o
o
o
200,639,000
Debt Service Funds
(210)
(212)
(213)
(215)
(216)
(217)
(220)
(226)
(232)
(259)
(272)
(273)
(287)
(298)
(299)
3,812,600
18,559,700
2,044,600
3,007,800
12,609,600
19,570,800
146,300
293,900
1,505,400
637,800
6,016,600
4,371,600
3,002,200
o
9,580,100
85,159,000
882,200
4,070,500
123,000
41,900
145,600
19,500
84,100
12,942,800
314,000
24,235,300
o
776,200
77,900
1,212,800
5,246,400
3,668,200
1 ,745, 100
5,045,700
1,204,900
82,000
48,900
o
202,700
322,100
1 ,440,300
19,092,900
1,030,800
1,612,600
940,100
175,700
o
15,900
192,697,700
3,812,500
18,563,000
2,044,600
2,997,800
12,554,600
19,570,800
270,900
208,900
1,507,700
635,600
6,037,300
4,472,900
3,292,300
4,030,100
181,800
80,180,800
%
Budget
Change
-2.390/0
19.320/0
50.92%
12.630/0
N!A
-15.220/0
-11.84%
19.530/0
-22.200/0
26.040/0
-100.000/0
-8.91 %
32.26%
122.080/0
-9.68%
-7.800/0
-36.560/0
-14.950/0
5.420/0
N!A
3.160/0
N!A
-28.320/0
-42.230/0
0.000/0
8.530/0
-31.280/0
-3.630/0
-25.19%
N/A
N/A
N!A
-3.96%
0.000/0
0.020/0
0.000/0
-0.330/0
-0.440/0
0.000/0
85.170/0
-28.920/0
o. 150/0
-0.34%
0.34%
2.320/0
9.660/0
N!A
-98.100/0
-5.850/0
N~GEftITEM
SEP 2 :3 LU'IU
Pg ,3
Collier County, Florida
Fiscal Year 2010/2011
Summary of Budget by Fund
FY 09/10 FY 10/11 0/0
Fund Adopted Amended Budget
Fund Title No. Budget Budget Change
Capital Projects/Expenditures Funds
Facilities Management County-Wide (301 ) 15,995,500 6,227,100 -61.070/0
Parks Capital Improvements (306) 1,358,100 802,400 -40.920/0
Library Capital Projects (307) 0 6,600
Community Development Capital (310) 0 157,900 N/A
Road Construction (non project) (312) 3,426,300 3,468,200 1.220/0
Road Construction (313) 70,926,700 35,494,800 -49.96%
Museum Capital (314 ) 200,000 109,300 -45.350/0
Clam Bay Restoration (320) 662,300 370,800 -44.010/0
Pel ican Bay I rrigation/Landscaping (322) 2,102,300 407,400 -80.62%
Stormwater Operations (324) 876,800 929,900 6.060/0
Water Management CIP (325) 13,218,000 7,450,100 -43.640/0
Road Impact District 1 (331 ) 2,41 2, 1 00 1,847,300 -23.420/0
Road Impact District 2 (333) 3,531,600 2,481,600 -29.73%
Road Impact District 3 (334 ) 1,050,600 161,700 -84.610/0
Road Impact District 4 (336) 14,178,000 572,000 -95.970/0
Road Impact District 6 (338) 2,117,700 5,533,600 161.30%
Road Impact District 5 (339) 873,900 399,400 -54.300/0
Road Assessment Receivable (341 ) 381,900 395,000 3.430/0
Regional Parks (345) 164,700 122,200 -25.800/0
Regional & Community Parks (346) 5,453,000 6,711,600 23.080/0
EMS Impact Fee (350) 1,661,400 1,063,300 -36.000/0
Library Co-Wide (355) 2,340,500 2,655,100 13.440/0
Naplesl Urban Community Park (368 ) 176,500 182,400 3.340/0
Ochopee Fire Impact Fees (372) 7,000 4, 1 00 -41.430/0
Isle of Capri Fire Impact Fees (373) 201,900 33,900 -83.210/0
Correctional Facilities Impact Fees (381 ) 3,361,700 3,459,200 2.900/0
Law Enforcement Impact Fees (385) 4,510,200 4,485,400 -0. 550J'o
Government Building Impact Fee (390 ) 10,005,900 8,477,000 -15.280/0
Subtotal Capital Funds 161,194,600 94,009,300 -41.680/0
Enterprise Fu nds
County W/S Operating (408) 127,942,000 128,374,600 0.34%
County WIS Capital (409) 35,700 19,000 -46.780/0
WIS Debt Service (410) 50,755,300 42,115,800 -17.020/0
Water Impact Fees (411 ) 10,504,500 11,926,100 13.530/0
Water Capital Projects (412) 34,308,900 31,474,800 -8.260/0
Sewer Impact Fees (413) 6,701,300 11,618,800 73.38%
Sewer Capital Projects (414) 44,487,700 40,865,400 -8.140/0
Water Sewer Bond Proceeds Fund (415) 500,600 0 -100.000/0
Public Utilities Grant Match (417) 0 0 N/A
Collier Area Transit Grants (424 ) 0 350,300 N/A
Collier Area Transit Grant Match (425) 0 0 N/A
Collier Area Transit (426) 3,414,500 3,280,100 -3.94%
Trans portation Disadvantaged (427) 1,975,700 2,210,100 11.860/0
Goodland W/S District (441 ) 706,600 633,700 -10.32%
Solid Waste Disposal (470) 13,614,400 19,468,000 43.000/0
Landfill Closure (471 ) 630,000 1,327,200 110.670/0
Solid Waste Disposal Grants (472) 0 0 N/A
Mandatory Collection (473) 24,383,700 24,399,100 0.06%
Solid Waste Capital Projects (474) 5,019,000 5,249,400 4.59%
Solid Waste Grant Match (476) 0 0 N/A
AGENDA ITEM
No. - ~G
SEP 2 3 2U.,U
Pg~
Collier County, Florida
Fiscal Year 2010/2011
Summary of Budget by Fund
FY 09110 FY 10111 0/0
Fund Adopted Amended Budget
Fund Title No. Budget Budget Change
Enterprise Funds (Cant-d)
EMS (490 ) 22,508,400 22,670,200 0.720/0
EMS Trust (491 ) 169,700 0 -100.000/0
Airport Authority Operations (495) 3,157,700 3,265,000 3.400/0
Airport Authority Capital (496) 310,400 441,000 42.070/0
Airport Authority Capital (497) 566,800 315, 1 00 -44.410/0
Airport Authority Grant Match (499) 0 191,000 N/A
Subtotal Enterprise Funds 351,692,900 350,194,700 -0.430/0
Internal Service Funds
Information Technology (505) 5,176,200 5,847,800 12.970/0
Information Technology Capital (506) 0 325,800 N/A
Property & Casualty (516) 14,021,000 12,396,900 -11.58%
Group Health (517) 48,834,000 47,955,700 -1.800/0
Workers Compensation (518) 6,483,700 6,302,700 -2.790/0
Fleet Management (521 ) 9,123,200 8,722,700 -4.390/0
Subtotal Internal Service Funds 83,638,100 81,551,600 -2.490/0
Trust and Agency Funds
Confiscated Property Trust. (602) 799,700 223,800 -72.01%
Crime Prevention (603) 942,100 820,300 -12.93%
University Extension (604 ) 46,600 48,300 3.650/0
GAC Land Trust (605) 1,615,200 1,544,200 -4.400/0
Parks and Recreation Donations (607) 0 20,700 N/A
Law Enforcement Trust (608) 684,500 771,500 12.710/0
Animal Control Trust (610) 210,100 184,800 -12.04%
Combined E-911 (611 ) 3,255,700 2,982,400 -8.390;0
Library Trust Fund (612) 390,100 205,600 -47.30%
Drug Abuse Trust (616) 3,700 3,800 2.700/0
Freedom Memorial (620) 164,900 136,300 -17.340/0
Countryside Wall (630) 48,900 0 -100.000/0
Law Library (640 ) 136,000 71,800 -47.210/0
Legal Aid Society (652) 118,700 71,200 -40.020/0
Office of Utility Regulation (669) 934,400 971,300 3.950/0
Deposit Fund (670) 100,000 0 -100.000/0
Caracara Prairie Preserve (674) 0 644,800 N/A
Court Administration (681 ) 2,665,900 2,383,100 -10.61 %
Subtotal Trust Funds 12,116,500 11,083,900 -8.52%
Lighting District Funds
Collier County Lighting (760) 708,400 667,200 -5.820/0
Pelican Bay Lighting (778) 552,200 429,800 -22.170/0
Subtotal Lighting Districts 1,260,600 1,097,000 -12.98%
Total Budget by Fund 1,410,452,900 1,299,082,600 -7.900/0
Less:
Internal Services 64,276,000 65,735,700 2.270/0
I nterfu nd Transfers 412,193,600 368,503,400 -10.600/0
Net County Budget 933,983,300 864,843,500 -7.400/0
AGENDtlTEM
No. - d..
SEP 2 :3 2010
S
Pg