Agenda 09/06/2012 BBCC
BUDGET
MEETING
AGENDA
SEPTEMBER 6.2012
Collier County Government
First Budget Public Hearing
Government Building F
3rd Floor Board Room
3299 Tamiami Tr., East
Naples, FL 34112
Leo E. Ochs, Jr.
County Manager
Mark Isackson
Director of Corporate
Financial Planning &
Management Services
Phone: 239 - 252 -8973
FY 2013
r
r
' J�
Presented by: Office of Management & Budget
September 6, 2012
5:05 P.M.
Office of the County Manager
Leo E. Ochs, Jr.
3299 Tamiami Trail East, Suite 202 • Naples Florida 34112 -5746 • (239) 252 -8383 • FAX: (239) 252 -4010
To: Board of County Commissioners
From: Leo E. Ochs, Jr., County Manager
r
Subject: September 6, 2012 Budget Hearing
Date: August 30, 2012
The timeline for approval of Collier County's FY 2013 budget has progressed to the first public budget hearing set
for Thursday evening September 6, 2012 at 5:05 p.m. In accordance with the State's Truth in Millage (TRIM)
Statutory guidelines, required notice for this meeting was provided within the Notice of Proposed Taxes
distributed recently through the Property Appraiser's Office. Notice of this hearing was also provided with Board
adoption of the July Tentative Budget on July 24, 2012.
Fiscal year 2013 budget planning culminated with Board approval of budget policy on February 28, 2012. Based
upon this guidance, staff presented for review and consideration the proposed FY 2013 budget which was the
subject of workshop discussions on June 28, 2012.
Following discussions on the proposed budget in June, the Property Appraiser updates preliminary June taxable
value numbers with certified taxable values dated July 1, 2012. Conforming to TRIM procedures, the Board
received its tentative FY 2013 budget on July 17, 2012. This tentative budget; reflects July 1st certified taxable
values; Board action since the June workshop and necessary FY 2012 revenue or expense forecast adjustments by
fund. At the Board meeting of July 24, 2012, the Board adopted the required resolution establishing proposed
millage rates as the maximum property tax rates to be levied in FY 2013 and reaffirmed the September public
hearing dates for the budget approval process.
The public budget hearings in September must follow a specific format pursuant to TRIM guidelines. Your agenda
for the first hearing contains the specific sequence of agenda items to be covered. Prior to approval of the
amended tentative budget, there will be a review and discussion of fund resolutions which provide the mechanism
for amending the July Tentative Budget. These resolutions which describe the budget changes by fund solely
pertain to the Tax Collectors appropriation which was received in August as well as re- alignment of budget
appropriations due to the Board approved re- organization. No other adjustments to the July Tentative Budget
were made. Board members will note that each resolution amending the July Tentative Budget contains specific
numerical descriptions of the fund impact. A narrative description is also provided within the "Summary of
Changes ".
Budget appropriations contained within the resolutions have no impact on the Board's millage neutral guidance
and do not impede growth in General Fund contingency and cash flow reserves pursuant to budget policy.
Cumulative changes from the FY 2013 July Tentative Budget as contained within the enabling resolutions total
$17,829,400 of which $16,977,700 is the Tax Collector's appropriation. These actions affect the gross budget which
includes all inter -fund transfers and other internal money shifts. The net budget which does not include inter -fund
transfers and other internal money shifts did not change except for the amount necessary to establish the Tax
Collector's FY 13 budget. There are no changes to the maximum millage rates set by the Board on July 24, 2012.
COLLIER COUNTY
BOARD OF COUNTY COMMISSIONERS
AGENDA
Thursday, September 6, 2012, 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. ADVERTISED PUBLIC HEARING — BCC — Fiscal Year 2013 Tentative Budget
A. Discussion of Tentative Millage Rates and Increases Over the Rolled Back Millage Rates
B. Review and Discussion of Changes to the Tentative Budget
C. Public Comments and Questions
D. Announcement of Tentative Millage Rates and Percentage Changes in Property Tax
Rates
E. Resolution to Adopt the Tentative Millage Rates
F. Resolution to Adopt the Amended Tentative Budget
G. Announcement of Final Public Hearing as Follows:
Final Public Hearing on the FY 2012 -13 Collier County Budget
Thursday, September 20, 2012
5:05 p.m.
Collier County Government Center
W. Harmon Turner Building (F)
Third Floor, Boardroom
Naples, Florida
2. ADJOURN
Fund Title
General Fund
Water Pollution Control
Unincorporated Area General Fund
Golden Gate Community Center
Victoria Park Drainage
Naples Park Drainage
Vanderbilt Beach MSTU
Isle of Capri Fire
Ochopee Fire Control
Collier County Fire
Goodland Fire MSTU
Sabal Palm Road MSTU
Golden Gate Parkway Beautification
Lely Golf Estates Beautification
Hawksridge Stormwater Pumping MSTU
Radio Road Beautification
Forest Lakes Roadway & Drainage MSTU
Immokalee Beautification MSTU
Bayshore Avalon Beautification
Haldeman Creek Dredging
Rock Road
Radio Road East MSTU
Conservation Collier
Forest Lakes Debt Service
Radio Road East Debt Service
Conservation Collier Debt Service (2005)
Collier County Lighting
Pelican Bay MSTBU
Aggregate Millage Rate
Collier County, Florida
Property Tax Rates
FY 2013 Proposed
Proposed
Prior Year
Rolled Bach
% Change Frm.
Millage
Millage
Fund No.
Rate
Rate
001
3.5645
3.5736
114
0.0293
0.0294
3.5938
3.6030
111
0.7161
0.7219
130
0.1990
0.1971
134
0.0492
0.0479
139
0.0090
0.0090
143
0.5000
0.5022
144
2.0000
2.0424
146
4.0000
4.0536
148
2.0000
2.0729
149
1.2760
1.2803
151
0.1000
0.1107
153
0.5000
0.4753
152
2.0000
2.0550
154
0.0500
0.0531
158
0.3114
0.3210
159
1.1395
1.1672
162
0.9354
1.0465
163
2.3754
2.4444
164
0.7054
0.7613
165
3.0000
2.7024
166
0.4666
0.4828
172
0.1688
0.1694
259
2.8605
2.9301
266
0.0000
0.0000
272
0.0812
0.0815
760
0.1477
0.1502
778
0.0857
0.0853
4.3299
4.3459
Proposed
Millage
% Change Frm.
Rate
Rolled Back
3.5645
-0.25%
0.0293
- 0.34%
3.5938
- 0.26%
0.7161
- 0.80%
0.1990
0.96%
0.0479
0.00%
0.0090
0.00%
0.5000
-0."%
2.0000
- 2.08%
4.0000
- 1.32%
2.0000
-3.52%
1.2760
- 0.34%
0.1000
-9.67%
0.4753
0.00%
2.0000
-2.68%
0.0500
- 5.84%
0.3210
0.00%
1.1551
- 1.04%
0.9354
- 10.62%
2.3754
- 2.82%
0.7735
1.60%
3.0000
11.01%
0.2401
- 50.27%
0.1651
- 2.54%
2.8449
-2.91%
0.2319
N/A
0.0849
4.17%
0.1631
8.59%
0.0857
0.47%
4.3214
- 0.56%
AGENDA ITEM
N o. 1A
SEP o 6 2012
Pg 1
EXHIBIT A
Collier County, Florida
Property Tax Dollars
FY 2013 Proposed
Prior Year
Current Year
Proposed
Fund
Adjusted Tax
Rolled Back
Tax
% Change
Fund Title
No.
Dollars
Tax Dollars
Dollars
Frm. Rolled Back
General Fund
001
204,900,023
209,408,956
208,875,706
-0.25%
Water Pollution Control
114
1,705,335
1,722,807
1,716,947
-0.34%
206,605,358
211,131,763
210,592,653
-0.26%
Unincorporated Area General Fund
111
25,563,564
26,072,882
25,863,403
-0.80%
Golden Gate Community Center
130
273,658
278,354
281,037
0.96%
Victoria Park Drainage
134
1,239
1,238
1,238
0.00%
Naples Park Drainage
139
7,804
7,848
7,848
0.00%
Vanderbilt Beach MSTU
143
955,192
956,924
952,732
-0.44%
Isle of Capri Fire
144
1,031,331
1,033,954
1,012,489
-2.08%
Ochopee Fire Control
146
1,245,272
1,256,152
1,239,543
-1.32%
Collier County Fire
148
282,644
285,813
275,762
-3.52%
Goodland/Horr's Island Fire MSTU
149
93,798
93,968
93,652
' -0.34%
Sabal Palm Road MSTU
151
1,015
1,015
917
-9.66%
Lely Golf Estates Beautification
152
191,743
191,738
186,607
-2.68%
Golden Gate Parkway Beautification
153
239,490
240,782
240,782
0.00%
Hawksridge Stormwater Pumping MSTU
154
2,808
2,809
2,645
-5.84%
Radio Road Beautification
158
306,450
308,219
308,219
0.00%
Forest Lakes Roadway & Drainage MSTU
159
151,478
151,474
149,904
-1.04%
Immokalee Beautification MSTU
162
302,567
309,696
276,818
- 10.62%
Bayshore Avalon Beautification
163
861,381
863,342
838,972
-2.82%
Haldeman Creek Dredging
164
50,595
50,683
51,496
1.60%
Rock Road
165
26,478
28,056
31,146
11.01%
Radio Road East MSTU
166
157,384
165,171
82,141
- 50.27%
Conservation Collier
172
9,824,594
9,926,650
9,674,675
-2.54%
Forest Lakes Debt Service
259
380,256
380,256
369,199
-2.91%
Radio Road East Debt Service
266
0
0
79,335
N/A
Conservation Collier Debt Service (2005)
272
4,726,049
4,775,809
4,975,045
4.17%
Collier County Lighting
760
567,610
572,183
621,325
8.59%
Pelican Bay MSTBU
778
436,700
438,735
440,792
0.47%
Total Taxes Levied
254,286,458
259,525,514
258,650,375
Aggregate Taxes
249,180,153
254,369,449
253,226,796
F ITEM
6 2012
Collier County, Florida
Taxable Property Values
For FY 2013
Prior Year
Current Year
Current Year
Fund
Gross
Adjusted
Gross
%
Fund Title
No.
Taxable Value
Taxable Value
Taxable Value
Change
County Wide Taxable Values
General Fund
001
58,202,570,727
58,006,694,525
58,598,879,552
0.68%
Water Pollution Control
114
58,202,570,727
58,006,694,525
58,598,879,552
0.68%
Dependent Districts and MSTU's
Unincorporated Area General Fund
111
36,013,774,963
35,687,375,874
36,117,026,674
0.29%
Golden Gate Community Center
130
1,375,163,488
1,388,403,265
1,412,245,067
2.70%
Victoria Park Drainage
134
25,182,025
25,838,750
25,841,196
2.62%
Naples Park Drainage
139
867,146,920
867,940,380
872,019,182
0.56%
Vanderbilt Beach MSTU
143
1,910,384,837
1,901,938,803
1,905,463,580
- 0.26%
Isle of Capri Fire
144
515,665,645
504,950,995
506,244,399
-1.83%
Ochopee Fire Control
146
311,317,899
307,202,460
309,885,646
-0.46%
Collier County Fire
148
141,322,163
136,349,006
137,880,786
-2.44%
Goodland /Horr's Island Fire MSTU
149
73,509,754
73,261,330
73,395,069
-0.16%
Sabal Palm Road MSTU
151
10,151,936
9,166,875
9,166,875
-9.70%
Lely Golf Estates Beautification
152
95,871,609
93,303,592
93,303,282
-2.68%
Golden Gate Parkway Beautification
153
478,980,702
503,922,808
506,589,495
5.76%
Hawksridge Stormwater Pumping MSTU
154
56,167,889
52,900,675
52,900,675
-5.82%
Radio Road Beautification
158
984,103,688
954,765,534
960,184,216
-2.43%
Forest Lakes Roadway & Drainage MSTU
159
132,933,552
129,775,754
129,775,754
- 2.38%
Immokalee Beautification MSTU
162
323,463,068
289,110,753
295,935,096
- 8.51%
Bayshore Avalon Beautification
163
362,625,744
352,395,693
353,191,857
-2.60%
Haldeman Creek Dredging
164
71,725,717
66,459,611
66,574,682
-7.18%
Rock Road
165
8,826,065
9,797,902
10,381,895
17.63%
Radio Road East MSTU
166
337,298,857
325,950,300
342,110,210
1.43%
Conservation Collier
172
58,202,570,727
58,006,694,525
58,598,879,552
0.68%
Forest Lakes Debt Service
259
132,933,552
129,775,754
129,775,754
-2.38%
Radio Road East Debt Service
266
337,298,857
325,950,300
342,110,210
1.43%
Conservation Collier Debt Service (2005)
272
58,202,570,727
58,006,694,525
58,598,879,552
0.68%
Collier County Lighting
760
3,842,994,840
3,778,060,201
3,809,473,951
- 0.870Y, "
Pelican Bay MSTBU
778 1
5,095,682,155 1
5,121,669,831
5,143,433,872
0.94%
7NO., ITEM
6 2012
P
SUMMARY OF CHANGES
TO THE FY 2013 TENTATIVE BUDGET
Transportation Services (101) ($252,300) Personal Services and Operating Expenses decreased by $252,300 due to
Major funding source is a General Fund Alternative Transportation Modes move from Growth Management to Public
Transfer Services, General Fund (001); also, a vehicle and the related costs was
transferred to Landscape Operations located in fund 111. The above netted a
reduction to a Transfer in from the General Fund.
Impact Fee Administration (107) $218,500 The reimbursement from Public Utilities to Impact Fee Administration
Major funding sources are Licenses & increased by $218,500 to fund the consolidation of Public Utilities' impact fee
Permit fees as well as administrative personnel with the Impact Fee Administration Department. Personal Services
fees and Operating Expenses in the Impact Gee Administration Department
increased by $204,400 and $14,100 respectively.
Unincorporated General Fund MSTU $0 Personal Services decreased by $201,000 due to two Parks and Recreation
(111) Project Managers being moved to Facilities Management. A vehicle and it's
Major funding sources are Ad Valorem related costs has been transferred to Landscape Operations which increased the
and Communication Services Tax Operating Expenses by $5,000. The above changes netted a reduction to
Reserves of $195,000.
Water Pollution Control (114)
NET CHANGE TO
FUND TITLE /(NUMBER)
FUND TOTAL EXPLANATION
General Fund (001)
$0 Personal Services and Operating Expenses increased by $426,600 and $21,700
Major funding sources are Ad Valorem,
respectively for the 2 Parks and Recreation Project Managers who were
Half Cent Sales Tax, and State Revenue
transferred from fund I 1 1 to Facilities Management, and the Alternative
Sharing
Transportation Modes Dept was moved from Growth Management, fund 101
to Public Services, fund 001. Since the Road and Bridge fund 101 no longer
supports Alternative Transportation Modes, the Transfer from the General
Fund to the Road and Bridge fund was reduced by $252,300. The above
changes netted a reduction to Reserves of $196,000. Additionally, a transfer
from Pollution Control was reduced by $6,600 and the Transfer from
Conservation Collier Maintenance
Water /Sewer Fund was increased by a like amount.
Tax Collector Fund (070)
$16,977,700 Adjustment reflects proposed budget submitted by the Tax Collector to the
Major funding sources are Commissions
Department of Revenue pursuant to state statutes on August 1, subsequent to
the development of the FY 13 (July) Tentative Budget.
Transportation Services (101) ($252,300) Personal Services and Operating Expenses decreased by $252,300 due to
Major funding source is a General Fund Alternative Transportation Modes move from Growth Management to Public
Transfer Services, General Fund (001); also, a vehicle and the related costs was
transferred to Landscape Operations located in fund 111. The above netted a
reduction to a Transfer in from the General Fund.
Impact Fee Administration (107) $218,500 The reimbursement from Public Utilities to Impact Fee Administration
Major funding sources are Licenses & increased by $218,500 to fund the consolidation of Public Utilities' impact fee
Permit fees as well as administrative personnel with the Impact Fee Administration Department. Personal Services
fees and Operating Expenses in the Impact Gee Administration Department
increased by $204,400 and $14,100 respectively.
Unincorporated General Fund MSTU $0 Personal Services decreased by $201,000 due to two Parks and Recreation
(111) Project Managers being moved to Facilities Management. A vehicle and it's
Major funding sources are Ad Valorem related costs has been transferred to Landscape Operations which increased the
and Communication Services Tax Operating Expenses by $5,000. The above changes netted a reduction to
Reserves of $195,000.
Water Pollution Control (114)
($141,100) Revenues related to the Small Quantity Hazardous Generator and the
Major funding source is Ad Valorem
Petroleum Storage Tank programs moving from Water Pollution Control to
Solid Waste total $141,100. The transfer of the revenue associated with these
functions result in a reduction to the Pollution Control Fund in the same
amount. On the expense side the Personal Services budget decreased by
$305,000 while Operating expenses increased by $17,400. The increase in the
Operating expenses category is the net result of programmatic operating
expenses being reduced by $44,200 while administrative and financial support
transfers of $61,600 were reclassified as an operating expense and added to the
operating expenditure category. Fund balance was maintained by increasing
reserves by $208,100.
Conservation Collier Maintenance
$0 Two large capital projects were moved to a new project fund 179 to properly
(174)
account for the construction of these assets in the amount of $855,000.
Major funding source is Ad Valorem
Reserves were reduced in the amount of $85,500 and a transfer to fund 179
was created to assist in moving $940,500 to the new Conservation Collier
Project fund 179.
Conservation Collier Projects (179)
$940,500 Two large capital projects were moved from the Conservation Collier
Major funding source is Ad Valorem
Maintenance fund 174 in the amount of $855,000. Reserves were increased by
$85,500 and a transfer in from fund 174 was increased by $940,500.
8/28/2012
=0.
SUMMARY OF CHANGES
TO THE FY 2013 TENTATIVE BUDGET
Gross Budget at July meeting
Gross Amended Tentative Budget
8128/20 12
$1,2889307,100
$1,306,136,500
I AGEND/
NO. ITEM
SEP 0 6 2012
Pg
NET CHANGE TO
FUND TITLE /(NUMBER)
FUND TOTAL EXPLANATION
County Water /Sewer District
($55,000) Two Utility employees with related operating costs have been transferred to the
Operations (408)
Impact Fee Administration in Growth Management, decreasing expenses by
Major funding source is User Fees
$218,500, however, since these two employees will be calculating impact fees
for the Utilities Dept, fund 408 will make an interdept payment for services,
increasing expenses by $218,500. The transfer to the General Fund increased
by $6,600; the portion which was to be paid by Pollution Control for dedicated
support from HR and Purchasing. Also the transfer from Pollution Control
(revenue) decreased by $55,000. The above changes netted a reduction to
Reserves by $61,600.
Solid Waste Disposal (470)
$141,100 Personal Services and Operating Expenses increased by $305,000 and $44,200
Major funding source is User Fees
respectively, due to the Petroleum Storage Tanks section and the Small Qty
Hazardous Generator section being transferred from the Pollution Control
Dept. Also, various revenues related to the two sections moving from Pollution
Control Dept were reduced by $141,100. The above changes netted an
decrease to Reserves of $208,100.
Total
$17,829,400
Gross Budget at July meeting
Gross Amended Tentative Budget
8128/20 12
$1,2889307,100
$1,306,136,500
I AGEND/
NO. ITEM
SEP 0 6 2012
Pg
BUDGET RESOLUTION
CHANGES TO THE FY 2013 TENTATIVE BUDGET
GENERAL FUND (001)
8/28/2012 3:55 PM
AGEND ITEM
No.
SEP 0 6 2012
pg 3
Requested
FY 13
%
FY 13
Changes
Tentative
Budget
Appropriation Unit
Budg-et
Increase (Decrease)
Budget
Change
Personal Services
27,286,200
426,600
27,712,800
1.6%
Operating Expenses
31,548,700
21,700
31,570,400
0.1%
Capital Outlay
289,000
0
289,000
0.0%
Grants and Aid
2,112,300
0
2,112,300
0.0%
Remittances
4,901,200
0
4,901,200
0.0%
Advance /Repay to 385 Law Enf
1,700,000
0
1,700,000
0.0%
Advance/Repay to 390 Gov't Fac
630,000
0
630,000
0.0%
Advance/Repay to 495 Airp Ops
527,800
0
527,800
0.0%
Trans to Clerk Of Courts
5,133,200
0
5,133,200
0.0%
Trans to Sheriff
131,973,300
0
131,973,300
0.0%
Trans to Property Appraiser
5,222,500
0
5,222,500
0.0%
Trans to Tax Collector
12,100,000
0
12,100,000
0.0%
Trans to Supery of Elections
3,232,100
0
3,232,100
0.0%
Trans to 101 Transp Op Fd
11,748,600
(252,300)
11,496,300
-2.1%
Trans to 111 Unincorp Gen Fd
137,000
0
137,000
0.0%
Trans to 146 Ochopee Fire Fd
431,700
0
431,700
0.0%
Trans to 186 Immok Redev Fd
223,200
0
223,200
0.0%
Trans to 187 Bayshore Redev Fd
754,500
0
754,500
0.0%
Trans to 188 800 MHz Fd
576,400
0
576,400
0.0%
Trans to 215 Debt Sery Fd
76,200
0
76,200
0.0%
Trans to 216 Debt Sery Fd
205,800
0
205,800
0.0%
Trans to 298 Sp Ob Bd ' 10
6,103,000
0
6,103,000
0.0%
Trans to 301 Co Wide Cap Fd
5,705,300
0
5,705,300
0.0%
Trans to 313 Gas Tax Cap Fd
11,230,800
0
11,230,800
0.0%
Trans to 324 Stormw Op Fd
1,204,400
0
1,204,400
0.0%
Trans to 325 Stormw Cap Fd
4,325,700
0
4,325,700
0.0%
Trans to 427 Transp Disadv Fd
2,378,100
0
2,378,100
0.0%
Trans to 490 EMS Fd
11,333,100
0
11,333,100
0.0%
Trans to 491 EMS Grant Fd
800,000
0
800,000
0.0%
Trans to 652 Leg Aid Soc
39,000
0
39,000
0.0%
Trans to 681 Court Services
955,600
0
955,600
0.0%
Reserves For Contingencies
6,477,300
(96,000)
6,381,300
-1.5%
Reserves For Cash Flow
19,000,000
(100,000)
18,900,000
-0.5%
Reserve for Attrition
(436,900)
0
(436,900)
0.0%
Total Appropriation
309,925,100
0
309,925,100
0.0%
8/28/2012 3:55 PM
AGEND ITEM
No.
SEP 0 6 2012
pg 3
BUDGET RESOLUTION
CHANGES TO THE FY 2013 TENTATIVE BUDGET
GENERAL FUND (00 1)
Changes in Expenditures (from the reorganization
2 Parks & Rec Project Mgr transferred from fd 111 to Facilities Mgt 201,000
Alternative Transp Modes transferred from fd 101 (GM) to Pub Sery fd 111 247,300
Reduced the Transfer to 101 Rd and Bridge Operations (252,300)
Reduced Reserves for Contingencies (to rebalance Gen Fd) (96,000)
Reduced Reserves for Cash Flow (to rebalance Gen Fd) (100,000)
Total Expenditure increase (decrease) 0
Chances in Revenues
Pollution Ctr Dept transferred from PUD to GMD. Public Utilities Division has dedicated
Human Resource and Purchasing resources assigned to them. Pollution Control shared in
the reimbursement ($6,600) of those resources, however, after the reorg, Pollution Ctr will
be supported by Growth Mgt. The $6,600 will be paid from the Water / Sewer Operations
Fund 408.
8/28/2012 3 :55 PM
AGEND A ITE►..
No.
SEP062W
pg y
Requested
FY 13
%
FY 13
Changes
Tentative
Budget
Revenues
Budget
Increase (Decrease)
Budget
Change
Ad Valorem Taxes
208,875,700
0
208,875,700
0.0%
Delinquent Ad Valorem Taxes
300,000
0
300,000
0.0%
Licenses & Permits
253,500
0
253,500
0.0%
Intergovernmental Revenues
870,000
0
870,000
0.0%
State Revenue Sharing
7,450,000
0
7,450,000
0.0%
State Sales Tax
28,500,000
0
28,500,000
0.0%
Fed Payment In Lieu of Taxes
700,000
0
700,000
0.0%
Charges For Services
12,422,400
0
12,422,400
0.0%
Fines & Forfeitures
1,205,300
0
1,205,300
0.0%
Miscellaneous Revenues
262,500
0
262,500
0.0%
Interest/Misc
555,000
0
555,000
0.0%
Indirect Service Charge
6,498,200
0
6,498,200
0.0%
Reimb From Other Depts
583,500
0
583,500
0.0%
Trans frm Clerk of Courts
100,000
0
100,000
0.0%
Trans fnn Property Appraiser
300,000
0
300,000
0.0%
Trans fnn Tax Collector
5,500,000
0
5,500,000
0.0%
Trans fin 002 Def Im Fee
12,100
0
12,100
0.0%
Trans fin 111 MSTD Gen Fd
331,000
0
331,000
0.0%
Trans fin 113 Comm Dev Fd
89,100
0
89,100
0.0%
Trans fin 114 Pollutn Ctrl Fd
6,600
(6,600)
0
- 100.0%
Trans fin 195 TDC Cap Fd
160,000
0
160,000
0.0%
Trans fin 220 Debt Service
8,900
0
8,900
0.0%
Trans fm 306 Pk & Rec Cap
2,278,200
0
2,278,200
0.0%
Trans fm 313 Gas Tax Cap Fd
232,700
0
232,700
0.0%
Trans fin 408 Water / Sewer Fd
285,300
6,600
291,900
2.3%
Trans fin 441 Goodland Water
1,200
0
1,200
0.0%
Trans fin 470 Solid Waste Fd
35,200
0
35,200
0.0%
Trans fin 473 Mand Collct Fd
38,800
0
38,800
0.0%
Trans fin 516 Prop & Cas Ins
76,600
0
76,600
0.0%
Trans fin 518 Workers Comp
850,000
0
850,000
0.0%
Carry Forward
44,283,700
0
44,283,700
0.0%
Less 5% Required By Law
(13,140,400)
0
(13,140,400)
0.0%
Total Revenues
309,925,100
0
309,925,100
0.0%
Changes in Expenditures (from the reorganization
2 Parks & Rec Project Mgr transferred from fd 111 to Facilities Mgt 201,000
Alternative Transp Modes transferred from fd 101 (GM) to Pub Sery fd 111 247,300
Reduced the Transfer to 101 Rd and Bridge Operations (252,300)
Reduced Reserves for Contingencies (to rebalance Gen Fd) (96,000)
Reduced Reserves for Cash Flow (to rebalance Gen Fd) (100,000)
Total Expenditure increase (decrease) 0
Chances in Revenues
Pollution Ctr Dept transferred from PUD to GMD. Public Utilities Division has dedicated
Human Resource and Purchasing resources assigned to them. Pollution Control shared in
the reimbursement ($6,600) of those resources, however, after the reorg, Pollution Ctr will
be supported by Growth Mgt. The $6,600 will be paid from the Water / Sewer Operations
Fund 408.
8/28/2012 3 :55 PM
AGEND A ITE►..
No.
SEP062W
pg y
BUDGET RESOLUTION
CHANGES TO THE FY 2013 TENTATIVE BUDGET
TAX COLLECTOR FUND (070)
Note: Tax Collector's budget submittal requirement is August 1, 2012 pursuant to state statutes.
Grants and Aid is made up of all funds to be reverted or turned back to various taxing authorities
8/28/2012 3:02 PM
AGEND TEM
No.
SEP 0 0 2012
pg
Tentative
FY 13 Amended
%
FY 13
Changes
\
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
0
9,298,200
9,298,200
N/A
Operating Expenses
0
1,894,000
1,894,000
N/A
Capital Outlay
0
29,500
29,500
N/A
Grants and Aid
0
5,756,000
5,756,000
N/A
Total Appropriation
0
16,977,700
16,977,700
N/A
Revenues
Charges for Services
0
16,702,700
16,702,700
N/A
Miscellaneous Revenues
0
275,000
275,000
N/A
Interest/Misc
0
0
0
N/A
Total Revenues
0
16,977,700
16,977,700
N/A
Note: Tax Collector's budget submittal requirement is August 1, 2012 pursuant to state statutes.
Grants and Aid is made up of all funds to be reverted or turned back to various taxing authorities
8/28/2012 3:02 PM
AGEND TEM
No.
SEP 0 0 2012
pg
BUDGET RESOLUTION
CHANGES TO THE FY 2013 TENTATIVE BUDGET
TRANSPORTATION SERVICES (101)
Revenues
Net Cost Road and Bridge
Requested
0
FY 13
%
Intergovernmental Revenues
FY 13
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
9,515,500
(225,600)
9,289,900
-2.4%
Operating Expenses
6,001,900
(26,700)
5,975,200
-0.4%
Indirect Cost Reimburse
221,600
0
221,600
0.0%
Capital Outlay
235,000
0
235,000
0.0%
Trans to 102 ROW Permit
0
0
0
N/A
Trans to 216 Debt Sery Fd
140,000
0
140,000
0.0%
Trans to 298 Sp Ob Bd'10
167,500
0
167,500
0.0%
Reserves for Contingencies
348,300
0
348,300
0.0%
Reserves for Attrition
(190,300)
0
(190,300)
0.0%
Total Appropriation
16,439,500
(252,300)
16,187,200
-1.5%
Revenues
Net Cost Road and Bridge
0
0
0
N/A
Intergovernmental Revenues
474,900
0
474,900
0.0%
FEMA -Fed Emerg Mgt Agency
0
0
0
N/A
Charges for Services
8,000
0
8,000
0.0%
Miscellaneous Revenues
139,700
0
139,700
0.0%
Interest/Misc
8,100
0
8,100
0.0%
Reimb from Other Depts
204,500
0
204,500
0.0%
Trans fin 001 Gen Fund
11,748,600
(252,300)
11,496,300
-2.1%
Trans fin 107 Imp Fee Admin
75,000
0
75,000
0.0%
Trans fin 111 MSTD Gen Fd
2,272,200
0
2,272,200
0.0%
Trans fin 131 Dev Sery Fd
75,000
0
75,000
0.0%
Carry Forward
1,465,100
0
1,465,100
0.0%
Less 5% Required by Law
(31,600)
0
(31,600)
0.0%
Total Revenues
16,439,500
(252,300)
16,187,200
-1.5%
Changes in Expenditures (from the reorganization)
Alternative Transp Modes transferred from fd 101 (GM) to Pub Sery fd
111
(247,300)
1 vehicle in Alt Transp Modes transferred to Landscape Ops in fd 111
(5,000)
Total Expenditure increase (decrease)
(252,300)
Changes in Revenues
Transfer from the General Fund (001) was reduced
(252,300)
8/28/2012 3 :16 PM
AGENDA ITEM
No. 1414
SEP 0 0 2012
pg 4
BUDGET RESOLUTION
CHANGES TO THE FY 2013 TENTATIVE BUDGET
IMPACT FEE ADMINISTRATION (107)
Changes in Expenditures (from the reorganization)
2 Pub Utilities employees transferred from fd 408 to Impact Fee Admin fd (107) 218,500
Total Expenditure increase (decrease) 218,500
Changes in Revenues
Increase Reimbursement from the Water / Sewer Operations Fund (408)
8/2812012 3 :04 PM
218,500
AGENDA a
NO.- -
SEP062012
Pg %
Requested
FY 13
%
FY 13
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
375,000
204,400
579,400
54.5%
Operating Expenses
263,100
14,100
277,200
5.4%
Indirect Cost Reimburse
43,500
0
43,500
0.0%
Trans to 101 Transp Op I'd
75,000
0
75,000
0.0%
Reserves for Contingencies
28,100
0
28,100
0.0%
Reserves for Cash Flow
178,600
0
178,600
0.0%
Reserves for Attrition
78,900
0
78,900
0.0%
Total Appropriation
1,042,200
218,500
1,260,700
21.0%
Revenues
Licenses & Permits
120,000
0
120,000
0.0%
Charges for Services
50,000
0
50,000
0.0%
Interest/Misc
0
0
0
N/A
Reimb from Other Depts
244,500
218,500
463,000
89.4%
Trans fin 111 MSTD Gen I'd
100,000
0
100,000
0.0%
Trans fin 113 Comm Dev I'd
0
0
0
N/A
Trans fin 131 Dev Sery I'd
75,000
0
75,000
0.0%
Carry Forward
461,200
0
461,200
0.0%
Less 5% Required by Law
(8,500)
0
(8,500)
0.0%
Total Revenues
1,042,200
218,500
1,260,700
21.0%
Changes in Expenditures (from the reorganization)
2 Pub Utilities employees transferred from fd 408 to Impact Fee Admin fd (107) 218,500
Total Expenditure increase (decrease) 218,500
Changes in Revenues
Increase Reimbursement from the Water / Sewer Operations Fund (408)
8/2812012 3 :04 PM
218,500
AGENDA a
NO.- -
SEP062012
Pg %
BUDGET RESOLUTION
CHANGES TO THE FY 2013 TENTATIVE BUDGET
MSTD GENERAL FUND - UNINCORPORATED AREAS (I 11)
Changes in Expenditures (from the reorganization)
Requested
2 Parks & Rec Project Mgr transferred from fd 111 to Facilities Mgt (fd 001)
FY 13
%
5,000
FY 13
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
14,261,800
(201,000)
14,060,800
-1.4%
Operating Expenses
15,586,900
5,000
15,591,900
0.0%
Indirect Cost Reimburse
2,164,000
0
2,164,000
0.0%
Capital Outlay
36,200
0
36,200
0.0%
Remittances
500,000
0
500,000
0.0%
Trans to Property Appraiser
247,400
0
247,400
0.0%
Trans to Tax Collector
630,500
0
630,500
0.0%
Trans to 001 General Fund
331,000
0
331,000
0.0%
Trans to 101 Transp Op Fd
2,272,200
0
2,272,200
0.0%
Trans to 107 Impact Fee Admin
100,000
0
100,000
0.0%
Trans to 113 Com Dev Fd
338,500
0
338,500
0.0%
Trans to 128/712 MPO Fd
5,000
0
5,000
0.0%
Trans to 130 GG Com Ctr Fd
357,000
0
357,000
0.0%
Trans to 131 Plan Sery Fd
157,000
0
157,000
0.0%
Trans to 186 Immok Redev Fd
44,800
0
44,800
0.0%
Trans to 187 Bayshore Redev Fd
151,500
0
151,500
0.0%
Trans to 320 Clam Bay Cap Fd
32,300
0
32,300
0.0%
Trans to 325 Stormw Cap Fd
250,000
0
250,000
0.0%
Reserves For Contingencies
10,700
70,700
81,400
660.7%
Reserves For Cash Flow
1,674,700
125,300
1,800,000
7.5%
Reserve for Attrition
(285,200)
0
(285,200)
0.0%
Total Appropriation
38,866,300
0
38,866,300
0.0%
Revenues
Ad Valorem Taxes
25,863,400
0
25,863,400
0.0%
Delinquent Ad Valorem Taxes
75,000
0
75,000
0.0%
Conununications Services Tax
4,800,000
0
4,800,000
0.0%
Licenses & Permits
480,000
0
480,000
0.0%
Special Assessments
1,000
0
1,000
0.0%
Charges For Services
2,356,500
0
2,356,500
0.0%
Fines & Forfeitures
151,000
0
151,000
0.0%
Miscellaneous Revenues
161,300
0
161,300
0.0%
Interest/Misc
50,000
0
50,000
0.0%
Trans fnn Property Appraiser
100,000
0
100,000
0.0%
Trans firm Tax Collector
100,000
0
100,000
0.0%
Trans fin 001 Gen Fund
137,000
0
137,000
0.0%
Trans fm 112 Landscape Cap
150,000
0
150,000
0.0%
Trans fm 131 Dev Sery Fd
75,000
0
75,000
0.0%
Trans fm 136 G Gate Beaut Fd
27,800
0
27,800
0.0%
Trans fm 143 Vander Beaut Fd
54,000
0
54,000
0.0%
Trans fm 158 Radio Rd Beaut Fd
28,100
0
28,100
0.0%
Trans fin 151 Sable Palm Rd Ex Fd
6,500
0
6,500
0.0%
Trans fm 152 Lely Golf Beaut Fd
29,400
0
29,400
0.0%
Trans fin 159 Forest Lake Fd
36,000
0
36,000
0.0%
Trans fm 165 Rock Rd
1,400
0
1,400
0.0%
Trans fm 166 Radio Rd East MSTU
26,500
0
26,500
0.0%
Carry Forward
5,853,300
0
5,853,300
0.0%
Less 5% Required By Law
(1,696,900)
0
(1,696,900)
0.0%
Total Revenues
38,866,300
0
38,866,300
0.0%
Changes in Expenditures (from the reorganization)
2 Parks & Rec Project Mgr transferred from fd 111 to Facilities Mgt (fd 001)
(201,000)
1 vehicle in Alt Transp Modes (101 /001) transferred to Landscape Ops in fd 11 1
5,000
Increase Reserves for Contingencies (to rebalance Fund)
70,700
Increase Reserves for Cash Flow (to rebalance Fund)
125,300
Total Expenditure increase (decrease)
0
K/2H/2012 3916 PM
AGENDA 11
SEP 0 6 2012
pg 8
BUDGET RESOLUTION
CHANGES TO THE FY 2013 TENTATIVE BUDGET
WATER POLLUTION CONTROL (114)
Revenues
Ad Valorem Taxes
Requested
0
FY 13
%
Delinquent Ad Valorem Taxes
FY 13
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
2,008,900
(305,000)
1,703,900
-15.2%
Operating Expenses
629,800
17,400
647,200
2.8%
Indirect Cost Reimburse
79,200
0
79,200
0.0%
Capital Outlay
50,600
0
50,600
0.0%
Trans to Property Appraiser
15,500
0
15,500
0.0%
Trans to Tax Collector
47,200
0
47,200
0.0%
Trans to 001 General Fd
6,600
(6,600)
0
- 100.0%
Trans to 131 Plan Sery Fd
78,700
0
78,700
0.0%
Trans to 408 Water /Sewer Fd
55,000
(55,000)
0
- 100.0%
Reserves for Contingencies
146,300
0
146,300
0.0%
Reserves for Capital
102,600
0
102,600
0.0%
Reserves for Cash Flow
0
208,100
208,100
N/A
Reserves for Attrition
(33,300)
0
(33,300)
0.0%
Total Appropriation
3,187,100
(141,100)
3,046,000
-4.4%
Revenues
Ad Valorem Taxes
1,716,900
0
1,716,900
0.0%
Delinquent Ad Valorem Taxes
0
0
0
N/A
Licenses & Pen-nits
200
0
200
0.0%
Intergovernmental Revenues
81,000
(81,000)
0
- 100.0%
Charges for Services
298,600
(100)
298,500
0.0%
Miscellaneous Revenues
0
0
0
N/A
Interest/Misc
10,800
0
10,800
0.0%
Reimb from Other Depts
136,400
(60,000)
76,400
-44.0%
Trans fin Property Appraiser
0
0
0
N/A
Trans fin Tax Collector
0
0
0
N/A
Carry Forward
1,055,400
0
1,055,400
0.0%
Less 5% Required by Law
(112,200)
0
(112,200)
0.0%
Total Revenues
3,187,100
(141,100)
3,046,000
-4.4%
Changes in Expenditures (from the reorganization
Petro Storage Tanks section transferred to Solid Waste (470)
(171,600)
Small Qty Hazardous Waste Generator section transferred to Solid Waste (470)
(177,600)
Increase Interdept Payment for Services to Growth Mgt
61,600
Reduced Transfer to Gen Fd for HR and Purchasing support
(6,600)
Reduce Transfer to fd 408 for Pub Utilities support
(55,000)
Reduced Reserves for Cash Flow (to rebalance fund)
208,100
Total Expenditure increase (decrease)
(141,100)
Changes in Revenues
Reduce revenues generated from Petro Storage Tanks
(81,100)
Reduce Reimbursement from other Depts
(60,000)
Total Revenue increase (decrease)
(141,100)
8/28/2012 3:07 PM
AGENDA ITEM
No. • 0
SEP 6 6 2012
pg
BUDGET RESOLUTION
CHANGES TO THE FY 2013 TENTATIVE BUDGET
CONSERVATION COLLIER MAINTENANCE (174)
Changes in Expenditures (from the reorganization)
Reduce Capital Outlay, move dollars to new Project Fund 179
Increase Transfer to new fund 179
Reduce Reserves for Capital; move money to new Project Fund 179
Total Expenditure increase (decrease)
8/28/2012 3 :08 PM
(855,000)
940,500
(85,500)
0
AGENDA ITEM��
No. 1419
SEP 0 6 2012
Pg /O
Requested
FY 13
%
FY 13
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Bud;?et
Change
Operating Expenses
529,900
0
529,900
0.0%
Indirect Cost Reimburse
20,100
0
20,100
0.0%
Capital Outlay
855,000
(855,000)
0
- 100.0%
Trans to 179 Consery Collier Proj
0
940,500
940,500
N/A
Trans to 272 Debt Sery Fd
900,000
0
900,000
0.0%
Trans to 273 Consery Collier'08
0
0
0
N/A
Reserves for Contingencies
23,500
0
23,500
0.0%
Reserves for Capital
29,242,800
(85,500)
29,328,300
0.3%
Total Appropriation
31,571,300
0
31,742,300
0.5%
Revenues
Miscellaneous Revenues
5,300
0
5,300
0.0%
Interest /Misc
229,400
0
229,400
0.0%
Trans fin 172 Consery Collier I'd
7,511,000
0
7,511,000
0.0%
Trans fin 272 Consery Co GO Bd
900,000
0
900,000
0.0%
Trans fin 273 Conservation Collier
0
0
0
N/A
Carry Forward
22,937,300
0
22,937,300
0.0%
Less 5% Required by Law
(11,700)
0
(11,700)
0.0%
Total Revenues
31,571,300
0
31,571,300
0.0%
-
(171,000.00)
Changes in Expenditures (from the reorganization)
Reduce Capital Outlay, move dollars to new Project Fund 179
Increase Transfer to new fund 179
Reduce Reserves for Capital; move money to new Project Fund 179
Total Expenditure increase (decrease)
8/28/2012 3 :08 PM
(855,000)
940,500
(85,500)
0
AGENDA ITEM��
No. 1419
SEP 0 6 2012
Pg /O
BUDGET RESOLUTION
CHANGES TO THE FY 2013 TENTATIVE BUDGET
CONSERVATION COLLIER PROJECTS (179)
Changes in Expenditures (from the reorganization)
Increase Capital Outlay, dollars moved from Fund 174
Increase Reserves for Capital
Total Expenditure increase (decrease)
Changes in Revenues
Increase Transfer from Conservation Collier Maintenance Fd 174
8/28/2012 3:09 PM
855,000
85,500
940,500
940,500
F NDA ITEM
/ Q 0 6 20112
!j
Requested
FY 13
%
FY 13
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budget
Change
Capital Outlay
0
855,000
855,000
N/A
Reserves for Capital
0
85,500
85,500
N/A
Total Appropriation
0
940,500
940,500
N/A
Revenues
Trans fin 174 Consery Collier Maint
0
940,500
940,500
N/A
Total Revenues
0
940,500
940,500
N/A
Changes in Expenditures (from the reorganization)
Increase Capital Outlay, dollars moved from Fund 174
Increase Reserves for Capital
Total Expenditure increase (decrease)
Changes in Revenues
Increase Transfer from Conservation Collier Maintenance Fd 174
8/28/2012 3:09 PM
855,000
85,500
940,500
940,500
F NDA ITEM
/ Q 0 6 20112
!j
BUDGET RESOLUTION
CHANGES TO THE FY 2013 TENTATIVE BUDGET
COUNTY WATER/SEWER DISTRICT OPERATIONS (408)
Changes in Expenditures (from the reorganization)
2 Pub Utilities employees transferred to Impact Fee Admin fd (107) (218,500)
Increased Interdept Payment for Service (to be pd to fd 107) 218,500
Increase Transfer to Gen Fd (001) - portion which was to be pd by fd 114 6,600
Decrease Reserve for Cash Flow (to rebalance the fund) (61,600)
Total Expenditure increase (decrease) (55,000)
Changes in Revenues
Reduce Transfer from Pollution Ctr for Public Utilities support services (55,000) AGENDA ITEM, ^
SEP 06 2012
8/28/2012 3:10 PM pg I X
Requested
FY 13
%
FY 13
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
25,464,600
(204,400)
25,260,200
-0.8%
Operating Expenses
29,794,100
204,400
29,998,500
0.7%
Indirect Cost Reimburse
1,861,600
0
1,861,600
0.0%
Payment in Lieu of Taxes
4,958,200
0
4,958,200
0.0%
Capital Outlay
1,179,300
0
1,179,300
0.0%
Trans to 001 General Fund
285,300
6,600
291,900
2.3%
Trans to 410 W/S Debt Sery Fd
8,626,300
0
8,626,300
0.0%
Trans to 412 W User Fee Cap Fd
9,654,600
0
9,654,600
0.0%
Trans to 414 S User Fee Cap Fd
32,361,600
0
32,361,600
0.0%
Reserves for Contingencies
3,095,800
0
3,095,800
0.0%
Reserves for Cash Flow
10,217,100
(61,600)
10,155,500
-0.6%
Reserves for Attrition
(408,200)
0
(408,200)
0.0%
Total Appropriation
127,090,300
(55,000)
127,035,300
0.0%
Revenues
Intergovernmental Revenues
0
0
0
N/A
FEMA -Fed Emerg Mgt Agency
0
0
0
N/A
Charges for Services
2,701,500
0
2,701,500
0.0%
Water Revenue
44,524,500
0
44,524,500
0.0%
Sewer Revenue
51,650,000
0
51,650,000
0.0%
Effluent Revenue
2,988,800
0
2,988,800
0.0%
Fines & Forfeitures
5,000
0
5,000
0.0%
Miscellaneous Revenues
471,700
0
471,700
0.0%
Interest/Misc
295,200
0
295,200
0.0%
Reimb from Other Depts
0
0
0
N/A
Trans fm 109 Peli Bay MSTBU
13,400
0
13,400
0.0%
Net Cost Co Water /Sewer Op
0
0
0
N/A
Trans fm 114 Pollutn Ctrl Fd
55,000
(55,000)
0
- 100.0%
Trans fm 409 W/S Assessmt Fd
10,300
0
10,300
0.0%
Trans fm 441 Goodland Water
14,100
0
14,100
0.0%
Trans fin 470 Solid Waste Fd
199,500
0
199,500
0.0%
Trans fm 473 Mand Collct Fd
1,193,000
0
1,193,000
0.0%
Carry Forward
28,108,400
0
28,108,400
0.0%
Less 5% Required by Law
(5,140,100)
0
(5,140,100)
0.0%
Total Revenues
127,090,300
(55,000)
127,035,300
0.0%
Changes in Expenditures (from the reorganization)
2 Pub Utilities employees transferred to Impact Fee Admin fd (107) (218,500)
Increased Interdept Payment for Service (to be pd to fd 107) 218,500
Increase Transfer to Gen Fd (001) - portion which was to be pd by fd 114 6,600
Decrease Reserve for Cash Flow (to rebalance the fund) (61,600)
Total Expenditure increase (decrease) (55,000)
Changes in Revenues
Reduce Transfer from Pollution Ctr for Public Utilities support services (55,000) AGENDA ITEM, ^
SEP 06 2012
8/28/2012 3:10 PM pg I X
BUDGET RESOLUTION
CHANGES TO THE FY 2013 TENTATIVE BUDGET
SOLID WASTE DISPOSAL (470)
Changes in Exaenditures (from the reorganization
Petro Storage Tanks section transferred to Solid Waste (470) 171,600
Small Qty Hazardous Waste Generator section transferred to Solid Waste (470) 177,600
Reduced Reserves for Cash Flow (to rebalance fund) (208,100)
Total Expenditure increase (decrease) 141,100
Changes in Revenues
Increase revenues generated from Petro Storage Tanks
Increase Reimbursement from other Depts
Total Revenue increase (decrease)
8/28/2012 3 11 PM
81,100
60,000
141,100
No GENDA IT,4M
rig 13
Requested
FY 13
%
FY 13
Changes
Tentative
Budget
Appropriation Unit
Budget
Increase (Decrease)
Budget
Change
Personal Services
1,906,100
305,000
2,211,100
16.0%
Operating Expenses
10,505,000
44,200
10,549,200
0.4%
Indirect Cost Reimburse
135,000
0
135,000
0.0%
Payment in Lieu of Taxes
113,000
0
113,000
0.0%
Capital Outlay
144,600
0
144,600
0.0%
Trans to 001 General Fund
35,200
0
35,200
0.0%
Trans to 408 Water /Sewer Fd
199,500
0
199,500
0.0%
Trans to 474 Solid Waste Cap Fd
2,742,500
0
2,742,500
0.0%
Reserves for Contingencies
753,100
0
753,100
0.0%
Reserves for Cash Flow
1,936,800
(208,100)
1,728,700
-10.7%
Reserves for Attrition
(26,400)
0
(26,400)
0.0%
Total Appropriation
18,444,400
141,100
18,585,500
0.8%
Revenues
Intergovernmental Revenues
0
81,000
81,000
N/A
Charges for Services
9,262,600
100
9,262,700
0.0%
Miscellaneous Revenues
0
0
0
N/A
Interest/Misc
0
0
0
N/A
Reimb from Other Depts
4,893,500
60,000
4,953,500
1.2%
Trans fin 473 Mand Collct Fd
135,000
0
135,000
0.0%
Carry Forward
4,861,100
0
4,861,100
0.0%
Less 5% Required by Law
(707,800)
0
(707,800)
0.0%
Total Revenues
18,444,400
141,100
18,585,500
0.8%
Changes in Exaenditures (from the reorganization
Petro Storage Tanks section transferred to Solid Waste (470) 171,600
Small Qty Hazardous Waste Generator section transferred to Solid Waste (470) 177,600
Reduced Reserves for Cash Flow (to rebalance fund) (208,100)
Total Expenditure increase (decrease) 141,100
Changes in Revenues
Increase revenues generated from Petro Storage Tanks
Increase Reimbursement from other Depts
Total Revenue increase (decrease)
8/28/2012 3 11 PM
81,100
60,000
141,100
No GENDA IT,4M
rig 13
RESOLUTION NO. 2012-
A RESOLUTION ADOPTING THE
TENTATIVE MILLAGE RATES FOR FY 2012 -13
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, on July 24, 2012, the Board of County Commissioners adopted Resolution
No. 2012 -136 approving the County's proposed millage rates and setting the public hearings for
adoption of the tentative and final millage rates; and
WHEREAS, pursuant to Section 200.065, Florida Statutes, an advertised public hearing
was held on September 6, 2012 to adopt the tentative millage rates.
NOW, THEREFORE, BE IT RESOLVED BY THE BOARD OF COUNTY
COMMISSIONERS OF COLLIER COUNTY, FLORIDA, that the FY 2012 -13 Tentative Millage
Rates as set forth in Exhibit "A" attached hereto and incorporated herein, are hereby adopted as
the Tentative Millage Rates for FY 2012 -13, pursuant to Sections 129.03 and 200.065, Florida
Statutes, as amended.
This Resolution adopted this 6th day of September, 2012, after motion, second and
majority vote.
ATTEST:
DWIGHT E. BROCK, Clerk
an
Deputy Clerk
Appro)
legal s
Jeffrey
County
BOARD OF COUNTY COMMISSIONERS
COLLIER COUNTY, FLORIDA
91
Fred W. Coyle Chairman
AGENDA -ITEM
No. ,
SEP 0 5 2012
Pg I
Exhibit A
Collier County, Florida
Property Tax Rates
FY 2013 Proposed
Prior Year
Rolled Back
Proposed
Millage
Millage
Millage
% Change Frm.
Fund Title
Fund No.
Rate
Rate
Rate
Rolled Back
General Fund
001
3.5645
3.5736
3.5645
-0.25%
Water Pollution Control
114
0.0293
0.0294
0.0293
-0.34%
3.5938
3.6030
3.5938
-0.26%
Unincorporated Area General Fund
111
0.7161
0.7219
0.7161
-0.80%
Golden Gate Community Center
130
0.1990
0.1971
0.1990
0.96%
Victoria Park Drainage
134
0.0492
0.0479
0.0479
0.00%
Naples Park Drainage
139
0.0090
0.0090
0.0090
0.00%
Vanderbilt Beach MSTU
143
0.5000
0.5022
0.5000
-0.44%
Isle of Capri Fire
144
2.0000
2.0424
2.0000
-2.08%
Ochopee Fire Control
146
4.0000
4.0536
4.0000
-1.32%
Collier County Fire
148
2.0000
2.0729
2.0000
-3.52%
Goodland Fire MSTU
149
1.2760
1.2803
1.2760
-0.34%
Saba[ Palm Road MSTU
151
0.1000
0.1107
0.1000
-9.67%
Golden Gate Parkway Beautification
153
0.5000
0.4753
0.4753
0.00%
Lely Golf Estates Beautification
152
2.0000
2.0550
2.0000
-2.68%
Hawksridge Stormwater Pumping MSTU
154
0.0500
0.0531
0.0500
-5.84%
Radio Road Beautification
158
0.3114
0.3210
0.3210
0.00%
Forest Lakes Roadway & Drainage MSTU
159
1.1395
1.1672
1.1551
-1.04%
Immokalee Beautification MSTU
162
0.9354
1.0465
0.9354
- 10.62%
Bayshore Avalon Beautification
163
2.3754
2.4444
2.3754
- 2.82%
Haldeman Creek Dredging
164
0.7054
0.7613
0.7735
1.60%
Rock Road
165
3.0000
2.7024
3.0000
11.01%
Radio Road East MSTU
166
0.4666
0.4828
0.2401
- 50.27%
Conservation Collier
172
0.1688
0.1694
0.1651
-2.54%
Forest Lakes Debt Service
259
2.8605
2.9301
2.8449
-2.91%
Radio Road East Debt Service
266
0.0000
0.0000
0.2319
N/A
Conservation Collier Debt Service (2005)
272
0.0812
0.0815
0.0849
4.17%
Collier County Lighting
760
0.1477
0.1502
0.1631
8.59%
Pelican Bay MSTBU
778
0.0857
0.0853
0.0857
0.47%
Aggregate Millage Rate
4.3299
4.3459
4.3214
-0.56%
NoAGENDA.ITEM
SEP o 6 2012
pg 2
EXHIBIT A
Collier County, Florida
Property Tax Dollars
FY 2013 Proposed
Prior Year
Current Year
Proposed
Fund
Adjusted Tax
Rolled Back
Tax
% Change
Fund Title
No.
Dollars
Tax Dollars
Dollars
Frm. Rolled Back
General Fund
001
204,900,023
209,408,956
208,875,706
-0.25%
Water Pollution Control
114
1,705,335
1,722,807
1,716,947
-0.34%
206,605,358
211,131,763
210,592,653
-0.26%
Unincorporated Area General Fund
111
25,563,564
26,072,882
25,863,403
-0.80%
Golden Gate Community Center
130
273,658
278,354
281,037
0.96%
Victoria Park Drainage
134
1,239
1,238
1,238
0.00%
Naples Park Drainage
139
7,804
7,848
7,848
0.00%
Vanderbilt Beach MSTU
143
955,192
956,924
952,732
-0.44%
Isle of Capri Fire
144
1,031,331
1,033,954
1,012,489
-2.08%
Ochopee Fire Control
146
1,245,272
1,256,152
1,239,543
-1.32%
Collier County Fire
148
282,644
285,813
275,762
-3.52%
Goodland /Horn's Island Fire MSTU
149
93,798
93,968
93,652
-0.34%
Sabal Palm Road MSTU
151
1,015
1,015
917
- 9.66%
Lely Golf Estates Beautification
152
191,743
191,738
186,607
-2.68%
Golden Gate Parkway Beautification
153
239,490
240,782
240,782
0.00%
Hawksridge Stormwater Pumping MSTU
154
2,808
2,809
2,645
-5.84%
Radio Road Beautification
158
306,450
308,219
308,219
0.00%
Forest Lakes Roadway & Drainage MSTU
159
151,478
151,474
149,904
-1.04%
Immokalee Beautification MSTU
162
302,567
309,696
276,818
- 10.62%
Bayshore Avalon Beautification
163
861,381
863,342
838,972
-2.82%
Haldeman Creek Dredging
164
50,595
50,683
51,496
1.60%
Rock Road
165
26,478
28,056
31,146
11.01%
Radio Road East MSTU
166
157,384
165,171
82,141
- 50.27%
Conservation Collier
172
9,824,594
9,926,650
9,674,675
-2.54%
Forest Lakes Debt Service
259
380,256
380,256
369,199
-2.91%
Radio Road East Debt Service
266
0
0
79,335
N/A
Conservation Collier Debt Service (2005)
272
4,726,049
4,775,809
4,975,045
4.17%
Collier County Lighting
760
567,610
572,183
621,325
8.59%
Pelican Bay MSTBU
778
436,700
438,735
440,792
0.47%
Total Taxes Levied
254,286,458
259,525,514
258,650,375
Aggregate Taxes
249,180,153
254,369,449
253,226,796
AGEN4JITEM
No. -- --����
SEP 0 6 2012
LP 3
RESOLUTION NO. 2012-
A RESOLUTION ADOPTING THE
TENTATIVE BUDGETS FOR FY 2012 -13
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, on July 24, 2012, the Board of County Commissioners adopted Resolution
No. 2012 -136 approving the County's proposed millage rates and setting the public hearings for
adoption of the tentative and final millage rates; and
WHEREAS, pursuant to Section 200.065, Florida Statutes, an advertised public hearing
was held on September 6, 2012 to adopt the tentative millage rates.
NOW, THEREFORE, BE IT RESOLVED BY THE BOARD OF COUNTY
COMMISSIONERS OF COLLIER COUNTY, FLORIDA, that the FY 2012 -13 Tentative Budgets
as amended by the budget summaries attached hereto and incorporated herein, are hereby
adopted as the Tentative Budgets for FY 2012 -13, pursuant to Sections 129.03 and 200.065,
Florida Statutes, as amended.
This Resolution adopted this 6th day of September, 2012, after motion, second and
majority vote.
ATTEST:
DWIGHT E. BROCK, Clerk
Appr eX� to form and
legal of .46
BOARD OF COUNTY COMMISSIONERS
COLLIER COUNTY, FLORIDA
Fred W. Coyle Chairman
V FSSEP A TEM
Jeffrey ` W w
County . ney . 6 2012
Collier County, Florida
Fiscal Year 2012/2013
Summary of Budget by Fund
FY 11/12
FY 12/13
%
Fund
Adopted
Tentative
Budget
Fund Title
No.
Budget
Budget
Change
General Fund
General Fund
(001)
309,467,600
309,925,100
0.16%
Utility Impact Fee Deferral Program
(002)
3,300
12,100
266.67%
Emergency Disaster
(003)
511,500
500,000
- 2.25%
Economic Development
(007)
327,800
469,200
43.14%
Constitutional Officer Funds:
Clerk of Circuit Court
(011)
7,430,400
7,412,000
- 0.25%
Sheriff
(040)
131,973,300
131,973,300
0.00%
Property Appraiser
(060)
6,367,400
6,303,500
- 1.00%
Tax Collector
(070)
17,436,000
16,977,700
-2.63%
Supervisor of Elections
(080)
3,541,500
3,233,600
-8.69%
Supervisor of Elections Grants
(081)
0
0
N/A
Subtotal Constitutional Officers
166,748,600
165,900,100
- 0.51%
Special Revenue Funds
Transportation
(101)
18,455,200
16,187,200
- 12.29%
Right of Way Permitting
(102)
449,300
456,900
1.69%
Impact Fee Administration
(107)
1,141,200
1,260,700
10.47%
Pelican Bay MSTBU
(109)
3,583,700
3,414,000
- 4.74%
Unincorporated Areas General Fund MSTU
(111)
40,472,200
38,866,300
-3.97%
Landscaping Projects
(112)
440,700
307,600
- 30.20%
Community Development
(113)
10,603,700
12,961,000
22.23%
Water Pollution Control
(114)
3,597,900
3,046,000
- 15.34%
Sheriff Grants
(115)
1,002,000
213,000
- 78.74%
Miscellaneous Grants
(116)
0
0
N/A
Natural Resources Grants
(117)
0
0
N/A
Emergency Management Grants
(118)
0
0
N/A
Parks & Recreation Food Service Grants
(119)
0
0
N/A
Community Development Block Grants
(121)
0
0
N/A
Services for Seniors
(123)
0
0
N/A
Metro Planning -MPO
(128)
5,000
5,000
0.00%
Library Grants
(129)
0
0
N/A
Golden Gate Community Center
(130)
1,190,500
1,060,200
- 10.94%
Planning Services
(131)
3,798,800
4,104,100
8.04%
Pine Ridge Industrial Park Capital
(132)
4,200
5,200
23.81%
Victoria Park Drainage MSTU
(134)
29,300
29,300
0.00%
Naples Production Park Capital
(138)
2,700
3,600
33.33%
Naples Park Drainage MSTU &BU
(139)
51,700
69,000
33.46%
Pine Ridge Industrial Pk Maintenance MSTU &BU
(140)
700
200
- 71.43%
Naples Production Park MSTU &BU
(141)
54,100
900
- 98.34%
Pine Ridge Industrial Park MSTU &BU
(142)
1,798,100
1,812,700
0.81%
Vanderbilt Beach Beautification MSTU
(143)
4,276,000
5,009,900
17.16%
Isle of Capri Municipal Rescue & Fire Services
(144)
1,408,300
1,334,900
- 5.21%
Ochopee Fire Control District MSTU
(146)
1,782,200
1,804,200
1.23%
Collier County Fire Control MSTU
(148)
291,500
277,800
- 4.70%
Goodland /Horr's Isle Fire Control District
(149)
90,300
93,200
3.21%
Sabal Palm Road Extension MSTU &BU
(151)
202,600
154,000
- 23.99%
Lely Golf Estates Beautification MSTU
cation
(152)
508,400
507,200
ITEM
No. / C
SEP 0 6 2012
Pg Z
Collier County, Florida
Fiscal Year 2012/2013
Summary of Budget by Fund
FY 11/12
FY 12/13
%
Fund
Adopted
Tentative
Budget
Fund Title
No.
Budget
Budget
Change
Special Revenue Funds (Cont'd)
Golden Gate Beautification MSTU
(153)
907,200
774,800
- 14.59%
Hawksridge Stormwater System MSTU
(154)
58,200
71,000
21.99%
Radio Road Beautification MSTU
(158)
710,300
592,000
- 16.65%
Forest Lakes Roadway & Drainage MSTU
(159)
3,921,400
2,457,300
- 37.34%
Immokalee Beautification MSTU
(162)
834,000
755,700
- 9.39%
Bayshore Beautification MSTU
(163)
4,681,500
4,038,200
- 13.74%
Haldeman Creek Dredging MSTU
(164)
155,800
192,900
23.81%
Rock Road MSTU
(165)
30,500
32,300
5.90%
Radio Road East Beautification MSTU
(166)
213,000
180,800
- 15.12%
Adoption Awareness
(170)
21,200
0
- 100.00%
Teen Court
(171)
80,400
82,200
2.24%
Conservation Collier
(172)
10,148,600
12,954,300
27.65%
Driver Education
(173)
298,700
272,000
- 8.94%
Conservation Collier Maintenance
(174)
27,184,600
31,571,300
16.14%
Juvenile Assessment Center
(175)
0
0
N/A
Court IT Fee
(178)
968,000
935,700
- 3.34%
Conservation Collier Projects
(179)
0
940,500
N/A
Domestic Animal Services Donations
(180)
82,200
77,700
- 5.47%
Court Maintenance Fund
(181)
2,361,300
3,505,400
48.45%
TDC Beach Park Facilities
(183)
2,144,400
8,760,400
308.52%
Tourism Marketing
(184)
3,773,100
4,698,600
24.53%
TDC Engineering
(185)
727,500
663,300
- 8.82%
Immokalee Redevelopment CRA
(186)
1,099,300
734,100
- 33.22%
Bayshore /Gateway Triangle CRA
(187)
3,243,700
2,169,700
- 33.11%
800 MHz Fund
(188)
1,199,700
1,126,500
- 6.10%
Wireless E -911
(189)
0
0
N/A
Miscellaneous Florida Statutes
(190)
91,500
36,400
- 60.22%
SHIP
(191)
0
0
N/A
Public Guardianship
(192)
197,900
197,900
0.00%
Tourist Development
(193)
296,300
324,900
9.65%
Tourist Development
(194)
1,440,300
1,586,300
10.14%
Tourist Development Beaches
(195)
26,966,100
32,359,400
20.00%
Economic Disaster Recovery
(196)
1,000,000
1,320,900
32.09%
Museum
(198)
1,584,300
1,823,500
15.10%
E -911 System
(199)
931,400
937,500
0.65%
Human Services Grants
(707)
0
0
N/A
Human Services Grant Match
(708)
85,300
0
- 100.00%
Public Services Grants
(709)
0
0
N/A
Public Services Grant Match
(710)
0
0
N/A
Transportation Grants
(711)
0
0
N/A
Transportation Grant Match
(712)
3,228,600
10,036,300
210.86%
Bureau of Emergency Services Grants
(713)
0
0
N/A
Bureau of Emergency Services Grant Match
(714)
15,900
0
- 100.00%
Immokalee CRA Grants
(715)
0
0
N/A
Collier County Lighting
(760)
607,400
612,800
0.89%
Pelican Bay Lighting
(778)
576,900
801,300
38.90%
Subtotal Special Revenue Funds
197,106,800
220,608,000
71.92%
AGENDA ITEM
No, -i r-
SEP 06 2012'
Pg
Collier County, Florida
Fiscal Year 2012/2013
Summary of Budget by Fund
FY 11/12
FY 12/13
%
Fund
Adopted
Tentative
Budget
Fund Title
No.
Budget
Budget
Change
Debt Service Funds
Sales Tax Revenue Bonds, Series 2002
(210)
0
0
N/A
Gas Tax Revenue Refunding Bds, 2003,2005
(212)
17,439,400
14,321,500
- 17.88%
State Infrastructure Bank (SIB) Loan
(213)
2,044,500
0
- 100.00%
Sales Tax Revenue Refunding Bonds, 2003
(215)
2,996,400
415,400
- 86.14%
Sales Tax Revenue Refunding Bonds, 2005
(216)
12,550,800
2,760,900
- 78.00%
Sales Tax Rev Bds Reserve, 2002,2003,2005
(217)
15,717,400
10,401,500
- 33.82%
Caribbean Gardens G.O. Bond
(220)
0
8,900
N/A
Naples Pk Drainage Assessment Bds, 1997
(226)
124,600
31,200
- 74.96%
Pine Ridge/ Naples Production Park, 1993
(232)
1,218,000
1,897,400
55.78%
Forest Lakes Limited G.O. Bonds, 2007
(259)
934,900
749,400
- 19.84%
Radio Rd E MSTU G.O. Bonds, 2012
(266)
0
141,700
N/A
Conservation Collier Limited G.O. Bds, 2005A
(272)
6,030,200
5,986,400
-0.73%
Conservation Collier Limited G.O. Bds, 2008
(273)
143,200
0
- 100.00%
Bayshore CRA Letter of Credit, Series 2009
(287)
3,030,200
3,030,200
0.00%
Special Obligation Bonds, Series 2010,2010B
(298)
7,806,900
18,908,900
142.21%
Commercial Paper Loans
(299)
3,000
500
- 83.33%
Subtotal Debt Service Funds
r 70,039,500
58,653,900
- 16.26%
Capital Projects /Expenditures Funds
County -Wide Capital Projects
(301)
7,611,300
7,327,900
-3.72%
Parks Capital Improvements
(306)
999,800
3,815,300
281.61%
Library Capital Projects
(307)
5,800
0
Growth Management Capital
(310)
0
0
N/A
Road Construction Operations
(312)
2,699,900
2,660,500
-1.46%
Road Construction
(313)
41,799,100
30,841,500
- 26.21%
Museum Capital
(314)
162,300
200,000
23.23%
Clam Bay Restoration
(320)
171,000
183,100
7.08%
Pelican Bay Irrigation /Landscaping
(322)
776,800
647,600
- 16.63%
Stormwater Operations
(324)
1,195,600
1,242,400
3.91%
Stormwater Capital Improvement Projects
(325)
7,273,500
5,651,700
- 22.30%
Road Impact District 1, N Naples
(331)
3,404,200
5,760,100
69.21%
Road Impact District 2, E Naples & GG City
(333)
1,376,800
2,402,500
74.50%
Road Impact District 3, City of Naples
(334)
364,200
293,400
- 19.44%
Road Impact District 4, S County & Marco
(336)
8,287,400
9,248,400
11.60%
Road Impact District 6, Golden Gate Estates
(338)
5,569,500
3,579,500
- 35.73%
Road Impact District 5, Immokalee Area
(339)
329,100
876,300
166.27%
Road Assessment Receivable
(341)
408,000
419,100
2.72%
Regional Park Impact Fee - Incorporated Areas
(345)
165,100
193,500
17.20%
Community & Regional Park Impact Fee
(346)
11,062,400
11,160,600
0.89%
EMS Impact Fee
(350)
966,500
647,900
- 32.96%
Library Impact Fee
(355)
2,103,600
1,565,300
- 25.59%
Community Park Impact Fee - Naples/ Urban
(368)
182,300
187,000
2.58%
Ochopee Fire Impact Fees
(372)
6,500
14,900
129.23%
Isle of Capri Fire Impact Fees
(373)
4,500
7,700
71.11%
Correctional Facilities Impact Fees
(381)
3,437,800
2,640,000
-23.21%
Law Enforcement Impact Fees
(385)
4,263,200
3,094,300
- 27.42%
General Government Building Impact Fee
(390)
7,961,600
7,437,900
-6.58%
Subtotal Capital Funds
112,587,800
102,098,400
°
AG EN DA ITEM
No. C
SEP 0 6 2012
Pg 1V
Collier County, Florida
Fiscal Year 2012/2013
Summary of Budget by Fund
FY 11/12
FY 12113
%
Fund
Adopted
Tentative
Budget
Fund Title
No.
Budget
Budget
Change
Enterprise Funds
County Water Sewer Operating
(408)
127,906,600
127,035,300
-0.68%
County Water Sewer Assessment Capital
(409)
22,400
11,100
- 50.45%
County Water Sewer Debt Service
(410)
39,424,400
37,860,900
-3.97%
County Water Impact Fees
(411)
11,236,100
8,736,500
- 22.25%
County Water Capital Projects
(412)
41,593,900
27,354,100
- 34.24%
County Sewer Impact Fees
(413)
11,486,600
9,666,000
- 15.85%
County Sewer Capital Projects
(414)
39,964,400
49,572,100
24.04%
County Water Sewer Bond Proceeds Fund
(415)
69,000
0
- 100.00%
County Water Sewer Grants
(416)
0
0
N/A
County Water Sewer Grant Match
(417)
0
0
N/A
Collier Area Transit Grants
(424)
0
0
N/A
Collier Area Transit Grant Match
(425)
477,500
477,500
0.00%
Collier Area Transit
(426)
3,015,800
2,707,700
- 10.22%
Transportation Disadvantaged
(427)
2,474,300
2,448,700
-1.03%
Transportation Disadvantaged Grant
(428)
0
0
N/A
Transportation Disadvantaged Grant Match
(429)
52,100
79,400
52.40%
Goodland Water District
(441)
660,600
522,200
- 20.95%
Solid Waste Disposal
(470)
18,165,500
18,585,500
2.31%
Landfill Closure
(471)
2,994,900
3,016,100
0.71%
Solid Waste Disposal Grants
(472)
0
0
N/A
Mandatory Collection
(473)
25,441,300
27,410,100
7.74%
Solid Waste Capital Projects
(474)
4,379,100
6,513,400
48.74%
Solid Waste Grant
(475)
0
0
N/A
Solid Waste Grant Match
(476)
0
0
N/A
EMS
(490)
21,672,300
22,058,600
1.78%
EMS Grants and Capital
(491)
800,000
800,000
0.00%
Airport Authority Operations
(495)
4,192,800
4,104,500
-2.11%
Airport Authority Capital
(496)
560,400
138,000
- 75.37%
Immokalee Airport Capital
(497)
553,500
456,500
- 17.52%
Airport Authority Grant
(498)
0
0
N/A
Airport Authority Grant Match
(499)
0
3,500
N/A
Subtotal Enterprise Funds
367,143,600
349,657,700
-2.12%
Internal Service Funds
Information Technology
(505)
5,897,300
5,437,700
-7.79%
Information Technology Capital
(506)
707,400
123,000
- 82.61%
Property & Casualty
(516)
11,851,800
13,470,300
13.66%
Group Health
(517)
47,564,800
49,680,500
4.45%
Workers Compensation
(518)
6,490,500
5,979,800
-7.87%
Fleet Management
(521)
10,796,900
10,794,900
-0.02%
Subtotal Internal Service Funds
83,308,700
85,486,200
2.61%
NAGENDA ^TEN o.
SEA' o 21st
Pq
Collier County, Florida
Fiscal Year 2012/2013
Summary of Budget by Fund
FY 11/12
FY 12113
%
Fund
Adopted
Tentative
Budget
Fund Title
No.
Budget
Budget
Change
Trust and Agency Funds
Confiscated Property Trust.
(602)
699,900
374,100
- 46.55%
Crime Prevention
(603)
1,038,200
1,098,800
5.84%
University Extension
(604)
53,900
58,500
8.53%
GAC Land Trust
(605)
1,132,600
1,101,200
-2.77%
Parks and Recreation Donations
(607)
17,500
21,200
21.14%
Law Enforcement Trust
(608)
821,500
758,600
- 7.66%
Animal Control Trust
(610)
179,800
186,300
3.62%
Combined E -911
(611)
3,759,500
4,753,300
26.43%
Library Trust Fund
(612)
540,200
588,500
8.94%
Drug Abuse Trust
(616)
3,500
4,100
17.14%
Freedom Memorial
(620)
35,500
180,700
409.01%
Countryside Wall
(630)
500
0
- 100.00%
Law Library
(640)
69,800
69,300
- 0.72%
Legal Aid Society
(652)
108,400
108,400
0.00%
Office of Utility Regulation
(669)
1,109,500
1,189,900
7.25%
Deposit Fund
(670)
0
0
N/A
Caracara Prairie Preserve
(674)
0
0
N/A
Court Administration
(681)
2,420,500
2,432,900
0.51%
Subtotal Trust Funds
11,990,800
12,925,800
7.80%
Total Budget by Fund
1,309,235,900
1,306,136,500
-0.24%
Less:
Internal Services
71,133,800
71,567,400
0.61%
Interfund Transfers
351,858,900
352,667,100
0.23%
Net County Budget
886,243,200
881,902,000
-0.49%
AGENDA IT -IVi
No.
SEA' 0 6 2012
pg 4