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Agenda 09/20/2018 (FY 19 Final Budget) Collier County Government Final Budget Public Hearing FY 2019 Presented by: Office of Management & Budget September 20, 2018 5:05 P.M. 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 Collier County Government Communication & Customer Relations 3299 Tamiami Trail East, Suite 102 Naples, Florida 34112-5746 colliergov.net twitter.com/CollierPIO facebook.com/CollierGov youtube.com/CollierGov September 10, 2018 FOR IMMEDIATE RELEASE NOTICE OF PUBLIC MEETING FOR THE ADOPTION OF THE FY 19 TENTATIVE BUDGETS; FINAL MILLAGE RATES & FINAL BUDGET BOARD OF COUNTY COMMISSIONERS COLLIER COUNTY, FLORIDA THURSDAY, SEPTEMBER 20, 2018 5:05 p.m. Notice is hereby given that the Collier County Board of County Commissioners will meet Thursday, September 20, at 5:05 p.m. in the Board of County Commissioners chambers, located on the third floor of the Collier County Government Center, 3299 Tamiami Trail East, Naples, Florida 34112, to conduct the final public budget hearing for the adoption of the Collier County Fiscal Year 201 9 Tentative Millage Rates and Final Budget. The meeting will be broadcast live on Collier Television and via colliergov.net. About the public meeting: All interested parties are invited to attend and to register to speak. All registered public speakers will be limited to three minutes unless permission for additional time is granted by the chairman. Collier County Ordinance No. 2004-05 requires that all lobbyists shall, before engaging in any lobbying activities (including, but not limited to, addressing the Board of County Commissioners, an advisory board or quasi-judicial board), register with the Clerk to the Board at the Board Minutes and Records Department. Anyone who requires an auxiliary aid or service for effective communication, or other reasonable accommodations in order to participate in this proceeding, should contact the Collier County Facilities Management Department located at 3335 Tamiami Trail East, Naples, Florida 34112, or (239) 252-8380 as soon as possible, but no later than 48 hours before the scheduled event. Such reasonable accommodations will be provided at no cost to the individual. For more information, call Mark Isackson at (239) 252-8973. ### MEMORANDUM TO: Board of County Commissioners (BCC) FROM: Leo E. Ochs, Jr. County Manager DATE: September 13, 2018 SUBJECT: FY 2019 Final Budget Public Hearing Documents Attached are the documents for the Final FY 2018-19 Budget Public Hearing scheduled for Thursday September 20, 2018 at 5:05 p.m. Pursuant to Florida statutes defining the annual truth in millage process (TRIM), the appropriate advertisement for this hearing will be published in the Naples Daily News on Monday, September 17, 2018. The final hearing was also announced at the first public budget hearing on September 6, 2018 and was contained within Resolution 2018-133 approving the tentative maximum millage rates passed by the Board of County Commissioners on July 10, 2018. Regarding the County’s final budget hearing, resolutions amending the September 6, 2018 amended tentative budget are presented reflecting; the Board’s action to postpone creation of the storm-water utility and related utility fee; further receipt of Hurricane Irma insurance reimbursements and; other routine revenue and expense adjustments which reflect actual accounting activity and/or the timing of certain projects. The final budget eliminates the storm-water utility budget structure and utility fee and restores the traditional funding mechanism for storm-water maintenance and capital which are general governmental transfers from the General Fund and Unincorporated Area General Fund. Storm-water operations will be accounted for in Fund (103) and capital/maintenance funding will be accounted for in Fund (325). Funding for maintenance and capital with the revisions is on par with that established in FY 2018 at $8.3 million. While the “Summary Narrative of Changes” identifies in detail how traditional storm-water funding was restored, essentially the $8.3M was achieved through a combination of reserve reductions in the General Fund (001) and Unincorporated Area General Fund (111) totaling $5.2M; reduction in Park’s Capital Fund (306) reserves which were not programmed and represented freed up money if the utility was implemented ($1.2M); expense reductions for payment in lieu fees in the Unincorporated Area General Fund (111) not necessary due to the elimination of the Utility ($800K) and; FY 2018 forecast revenue increases representing funds received in the accounting system over forecast in the Unincorporated Area General Fund (111) and Transportation Services Fund (101) totaling ($1.1M). No changes to the roster of millage rates approved at the September 6th budget hearing are proposed. In the interim, if you have any questions, please contact me at your convenience. Enclosure c: Mark Isackson, Director Corporate Financial Planning Nick Casulanguida, Deputy County Manager Department Heads OMB Staff COLLIER COUNTY BOARD OF COUNTY COMMISSIONERS AGENDA Thursday, September 20, 2018, 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 – Collier County FY 2018-19 Budget A. Discussion of FY 2018-19 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. 2. Adjournment of FY 2019 Public Budget Hearing Exhibit A Prior Year Rolled Back Proposed Millage Millage Millage % Change Frm. Fund Title Fund No.Rate Rate Rate Rolled Back General Fund 001 3.5645 3.4622 3.5645 2.95% Water Pollution Control 114 0.0293 0.0284 0.0293 3.17% 3.5938 3.4906 3.5938 2.96% Unincorporated Area General Fund 111 0.8069 0.7860 0.8069 2.66% Golden Gate Community Center 130 0.1862 0.1787 0.1862 4.20% Victoria Park Drainage 134 0.0346 0.0323 0.0323 0.00% Naples Park Drainage 139 0.0061 0.0057 0.0057 0.00% Vanderbilt Beach MSTU 143 0.5000 0.4781 0.5000 4.58% Ochopee Fire Control 146 4.5000 4.7442 4.0000 -15.69% Goodland/Horr's Island Fire MSTU 149 1.2760 1.2541 1.2760 1.75% Sabal Palm Road MSTU 151 0.0000 0.0000 0.0000 #DIV/0! Golden Gate Parkway Beautification 153 0.5000 0.4644 0.5000 7.67% Lely Golf Estates Beautification 152 2.0000 1.8885 2.0000 5.90% Hawksridge Stormwater Pumping MSTU 154 0.0409 0.0398 0.0398 0.00% Radio Road Beautification 158 0.1000 0.0959 0.1000 4.28% Forest Lakes Roadway & Drainage MSTU 159 1.3431 1.2652 1.3793 9.02% Immokalee Beautification MSTU 162 1.0000 0.9726 1.0000 2.82% Bayshore Avalon Beautification 163 2.3604 2.2832 2.3604 3.38% Haldeman Creek Dredging 164 0.7348 0.6859 1.0000 45.79% Rock Road 165 3.0000 2.7546 3.0000 8.91% Forest Lakes Debt Service 259 2.6569 2.5027 2.6207 4.71% Collier County Lighting 760 0.1640 0.1549 0.1549 0.00% Pelican Bay MSTBU 778 0.0857 0.0828 0.0857 3.50% Aggregate Millage Rate 4.1790 4.0636 4.1767 2.78% Collier County, Florida Property Tax Rates FY 2019 Proposed Exhibit A Prior Year Current Year Proposed Fund Adjusted Tax Rolled Back Tax % Change Fund Title No.Dollars Tax Dollars Dollars Frm. Rolled Back General Fund 001 293,414,000 305,739,719 314,773,621 2.95% Water Pollution Control 114 2,449,410 2,507,945 2,587,422 3.17% 295,863,410 308,247,664 317,361,043 2.96% Unincorporated Area General Fund 111 41,340,412 43,063,780 44,208,860 2.66% Golden Gate Community Center 130 370,793 374,597 390,318 4.20% Victoria Park Drainage 134 1,308 1,309 1,309 0.00% Naples Park Drainage 139 8,132 8,221 8,221 0.00% Vanderbilt Beach MSTU 143 1,280,091 1,286,288 1,345,208 4.58% Ochopee Fire Control 146 1,433,133 1,426,276 1,202,543 -15.69% Goodland/Horr's Island Fire MSTU 149 104,031 106,419 108,278 1.75% Sabal Palm Road MSTU 151 0 0 0 #DIV/0! Lely Golf Estates Beautification 152 255,604 255,982 271,095 5.90% Golden Gate Parkway Beautification 153 374,670 377,439 406,373 7.67% Hawksridge Stormwater Pumping MSTU 154 2,803 2,804 2,804 0.00% Radio Road Beautification 158 124,265 125,455 130,819 4.28% Forest Lakes Roadway & Drainage MSTU 159 255,764 255,816 278,886 9.02% Immokalee Beautification MSTU 162 365,543 373,462 383,983 2.82% Bayshore Avalon Beautification 163 1,050,170 1,075,509 1,111,874 3.38% Haldeman Creek Dredging 164 78,938 85,075 124,033 45.79% Rock Road 165 38,845 40,436 44,038 8.91% Forest Lakes Debt Service 259 505,949 506,031 529,890 4.71% Collier County Lighting 760 866,040 871,787 871,787 0.00% Pelican Bay MSTBU 778 564,416 565,177 584,971 3.50% Total Taxes Levied 344,884,317 359,049,527 369,366,333 Aggregate Taxes 344,378,368 358,543,496 368,836,443 Collier County, Florida Property Tax Dollars FY 2019 Proposed 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 83,597,615,791 86,230,077,108 88,307,931,189 5.63% Water Pollution Control 114 83,597,615,791 86,230,077,108 88,307,931,189 5.63% Dependent Districts and MSTU's Unincorporated Area General Fund 111 51,754,136,138 53,180,887,907 54,788,524,423 5.86% Golden Gate Community Center 130 1,991,368,931 2,075,216,083 2,096,231,706 5.27% Victoria Park Drainage 134 37,806,252 40,535,311 40,537,005 7.22% Naples Park Drainage 139 1,333,165,967 1,424,482,303 1,442,260,322 8.18% Vanderbilt Beach MSTU 143 2,560,181,524 2,677,386,336 2,690,415,673 5.09% Ochopee Fire Control 146 318,474,016 302,084,235 300,635,627 -5.60% Goodland/Horr's Island Fire MSTU 149 81,528,924 82,954,817 84,857,058 4.08% Sabal Palm Road MSTU 151 24,840,831 18,618,008 21,959,396 -11.60% Lely Golf Estates Beautification 152 127,802,080 135,350,548 135,547,690 6.06% Golden Gate Parkway Beautification 153 749,340,700 806,852,996 812,746,096 8.46% Hawksridge Stormwater Pumping MSTU 154 68,539,572 70,449,192 70,447,333 2.78% Radio Road Beautification 158 1,242,647,732 1,295,920,796 1,308,187,315 5.27% Forest Lakes Roadway & Drainage MSTU 159 190,428,196 202,158,785 202,194,186 6.18% Immokalee Beautification MSTU 162 365,543,031 375,826,059 383,982,927 5.04% Bayshore Avalon Beautification 163 444,911,987 459,956,825 471,053,351 5.88% Haldeman Creek Dredging 164 107,427,329 115,093,516 124,033,485 15.46% Rock Road 165 12,948,190 14,101,589 14,679,431 13.37% Forest Lakes Debt Service 259 190,428,196 202,158,785 202,194,186 6.18% Collier County Lighting 760 5,280,728,700 5,590,762,234 5,628,065,914 6.58% Pelican Bay MSTBU 778 6,585,951,555 6,812,985,310 6,825,803,272 3.64% Collier County, Florida Taxable Property Values For FY 2019 SUMMARY OF CHANGES TO THE FY 2018 TENTATIVE BUDGET NET CHANGE TO FUND TITLE/(NUMBER)FUND TOTAL EXPLANATION General Fund (001) Major funding sources are Ad Valorem, Half Cent Sales Tax, and State Revenue Sharing $ 0 On the expense side, reserve reductions totaled $3,974,300 was used to restored funding to the Stormwater program by increasing transfers to Stormwater Operation Fund (103) of $1,474,300 and $2,500,000 to Stormwater Capital Fund (325). Transportation Services Fund (101) Major funding source is a Transfer from the General Fund (001) $ 400,000 In FY 19, Carryforward (revenue) increased by $400,000; Insurance Proceed and other revenues collected in FY 18 exceeded forecast amounts by $400,000. On the expense side, the transfer to Motor Pool Capital Fund (523) increased by $430,000 for the purchase of a Menzi Muck (for Stormwater) and operating expenses increased by $80,000 for an expanded heavy equipment operator and operating expenses for the Menzi Muck. The net effect of these changes is a $110,000 reduction to reserves. Stormwater Operations Fund (103) Major funding sources are transfers from the General Fund (001) and Unincorporated General Fund (111) $ (2,545,900)On the revenue side, replaced the transfer from Stormwater Capital fund (325) in the amount of $5,194,800 with a transfer from the General Fund (001) of $1,474,300 and $1,174,600 from the Unincorporated General Fund (111). On the expense side, removed twenty three (23) expanded positions and related costs in the amount of $2,545,900. Impact Fee Administration Fund (107) Major funding sources are from fees. $ 0 On the expense side, personnel expenses increased due to an expanded position in the amount of $63,700, reserved were decreased by a like amount. Unincorporated Area General Fund (111) Major funding sources is Ad Valorem $ 958,400 In FY 19, Carryforward (revenue) increased by $958,400; various revenues collected in FY 18 exceeded forecast amounts by $398,400 and expense projections for FY18 were updated, decreasing the expected outflow by $560,000. On the expense side, Stormwater funding was restored to the Operation Fund (103) in the amount of $1,174,600 and $3,000,000 for Capital Projects Fund (325). The Payment in Lieu of Stormwater' s assessment applied toward all governmental (federal, state, county) buildings decreased by $800,000. The Parks Capital Fd (306) transfer was also decreased by $1,193,800 as well Reserves in the amount of $1,222,400. Ochopee Fire & Control District Fund (146) Major funding sources are Ad Valorem and a transfer from the General Fund (001) $ 282,300 In FY 19, Carryforward (revenue) increased by $282,300; various revenues collected in FY 18 exceeded forecast amounts by $14,300 and expense projections for FY18 were updated, decreasing the expected outflow by $268,000. On the expense side, Remittances to Greater Naples Fire increased by $257,300 and reserves increased by $25,000. Bayshore CRA Fund (187) Major source of funding is Tax Increment Financing $ (377,400)Fund (187) is modified to reflect expenditure for the Bayshore Drive Parking Lot land purchase occurring in FY18. Carry forward into FY19 is reduced and the land purchase budget is reduced. Parks and Recreation Capital Project Fund (306) Major source of funding are transfers from the General Fund (001) and Unincorporated General Fund (111) $ (1,193,800)On the revenue side, the transfer from the Unincorporated Area General Fund (111) decreased by $1,193,800 due to the postponement of the Stormwater Utility. On the expense side, reserves are eliminated. SUMMARY OF CHANGES TO THE FY 2018 TENTATIVE BUDGET NET CHANGE TO FUND TITLE/(NUMBER)FUND TOTAL EXPLANATION Stormwater Capital Project Fund (325) Major source of funding are transfers from the General Fund (001) and Unincorporated General Fund (111) $ (14,393,500)On the revenue side, the stormwater assessment net the revenue reserve in the amount of $19,950,000 was eliminated and replaced with transfers from the General Fund (001) in the amount of $2,500,000 and $3,000,000 from the Unincorporated General Fund (111). The funding level of $5.5 million is consistent with the Budget Policy approved by the Board on March 13, 2018, item 11.F. On the expense side, cost associated with the assessment were eliminated in the amount of $735,000, the transfer to the Stormwater Operating Fund (103) of $5,194,800 was eliminated, the transfer to the Motor Pool Capital Fund (523) of $1,630,000 was eliminated, reserves in the amount of $546,700 were eliminated and capital projects were reduced by $6,287,000. Wastewater Capital Fund (414) Major source of funding is a transfer from Water / Sewer Operating Fund (408) $ 2,354,000 In FY 19, Carryforward (revenue) increased by $2,354,000 and Reserves increased by $2,354,000. Insurance proceed revenue collected in FY 18 exceeded forecast amounts by $2,354,000. These funds will be allocated toward capital projects in FY 19 by Executive Summary. Collier Area Transit (CAT) Grant Match Fund (425) Major source of funding is a transfer from the General Fund (001) $ 10,000 On the revenue side, transfer from the General Fund (001) increased by $10,000, funds are needed for a future grant match. On the expense side, reserves were increase by $10,000. Collier Area Transit (CAT) Enhancement Fund (426) Major source of funding are a transfer from the General Fund (001) and charges for services. $ (10,000)On the revenue side, transfer from the General Fund (001) decreased by $10,000, the funds are needed for a future grant match in Fund (425). On the expense side, reserves were decrease by $10,000. Airport Capital (496) Major source of funding are transfers from Airport Operating Fund (495) and transfer from General Fund (001) $ 39,100 In FY 19, Carryforward (revenue) increased by $39,100 and Reserves increased by $39,100. Insurance proceed revenue collected in FY 18 exceeded forecast amounts by $39,100. General Governmental Motor Pool Fund (523) Major funding source is User fees $ (1,200,000)On the revenue side, the transfer from Stormwater Capital Fund (325) of $1,630,000 was eliminated. The transfer from Transportation Operations Fund (101) increased by $430,000 to purchase a Menzi Muck. On the expense side, all the expanded equipment requested for the new Stormwater Utility has been eliminated with the exception of the Menzi Muck. Total ($15,676,800) Gross Budget at First Public meeting $1,767,308,700 Gross Amended Tentative Budget $1,751,631,900 BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET GENERAL FUND (001) ============================================================================== Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change County Commissioners 1,287,400 1,287,400 0.0% Other General Administrative 9,687,300 9,687,300 0.0% County Attorney 2,815,500 2,815,500 0.0% Sub-Total 13,790,200 13,790,200 0.0% Management Offices 4,883,500 4,883,500 0.0% Administrative Support Services 8,121,200 8,121,200 0.0% Public Services 35,590,400 35,590,400 0.0% Growth Management 107,300 107,300 0.0% Public Utilities 16,458,000 16,458,000 0.0% Sub-Total County Manager 65,160,400 65,160,400 0.0% Courts & Rel Agencies 786,300 786,300 0.0% Trans to 681 2,012,400 2,012,400 0.0% Sub-Total Courts 2,798,700 2,798,700 0.0% Road & Bridge (101)20,154,300 20,154,300 0.0% Stormwater Utility (103)0 1,474,300 1,474,300 N/A Uninc Area MSTU General Fd (111)127,400 127,400 0.0% Ochopee Fire District (146)565,100 565,100 0.0% Ave Maria Innovation Zone (182)73,200 73,200 0.0% Immokalee Redevelopment (186)574,900 574,900 0.0% Gateway Triangle (187)1,439,900 1,439,900 0.0% 800 MHz (188)730,400 730,400 0.0% Museum (198)200,000 200,000 0.0% Collier Area Transit (425/426)1,952,900 1,952,900 0.0% Transportation Disadvantage (427/429)2,604,700 2,604,700 0.0% EMS (490)18,018,600 18,018,600 0.0% IT Projects (506)430,600 430,600 0.0% Motor Pool Capital Recovery (523)110,000 110,000 0.0% Legal Aid Society (652)147,700 147,700 0.0% Grant Match for Hardening (700)2,000,000 2,000,000 0.0% Emergency management Grants 34,500 34,500 0.0% Amateur Sports complex Ops (759)1,728,600 1,728,600 0.0% Sub-Total 50,892,800 52,367,100 2.9% Reserve for Cash Flow 39,800,000 (3,800,000)36,000,000 -9.5% Reserve for Contingencies 9,193,500 (174,300)9,019,200 -1.9% Reserve for Attrition (538,000) (538,000) 0.0% Sub-Total Reserves 48,455,500 44,481,200 -8.2% Transfers Debt/Capital Special Obligation Bonds (298)2,775,900 2,775,900 0.0% Commercial Paper Loans (299)703,500 703,500 0.0% Co Wide Capital (301)15,335,700 15,335,700 0.0% Parks Capital (306)1,100,000 1,100,000 0.0% Transportation Capital (310)8,555,800 8,555,800 0.0% Museum Capital (314)200,000 200,000 0.0% Stormwater Mgmt. (325)0 2,500,000 2,500,000 N/A Airport Capital/Grants (496-499)445,000 445,000 0.0% Sub-Total Debt/Capital 29,115,900 31,615,900 8.6% Transfers/Constitutional Officers Clerk of Courts 7,367,000 7,367,000 0.0% Clerk of Courts - BCC Paid 502,100 502,100 0.0% Property Appraiser 6,526,600 6,526,600 0.0% Property Appraiser -BCC Paid 179,900 179,900 0.0% Sheriff 187,203,400 187,203,400 0.0% Sheriff - BCC Paid 3,504,900 3,504,900 0.0% Supervisor of Elections 3,807,900 3,807,900 0.0% Supervisor of Elections - BCC Paid 66,600 66,600 0.0% Tax Collector 16,306,600 16,306,600 0.0% Tax Collector - BCC Paid 224,200 224,200 0.0% Sub-Total/Trans Const.225,689,200 225,689,200 0.0% Total Fund Appropriations 435,902,700 0 435,902,700 0.0% BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET GENERAL FUND (001) ============================================================================== Tentative FY 19 % FY 19 Changes Amended Tentative Budget Revenues Budget Increase (Decrease)Budget Change Current Ad Valorem Taxes 314,773,600 314,773,600 0.0% Delinquent Ad Valorem Taxes 50,000 50,000 0.0% Fish And Wildlife Refuge Rev Sharing 140,000 140,000 0.0% Federal Payment In Lieu Of Taxes 1,250,000 1,250,000 0.0% State Revenue Sharing 11,000,000 11,000,000 0.0% Insurance Agents County Licenses 75,000 75,000 0.0% Alcoholic Beverage Licenses 180,000 180,000 0.0% Local Government Half Cent Sales Tax 41,000,000 41,000,000 0.0% Oil/Gas Severance Tax 50,000 50,000 0.0% Enterprise Fund PILOT 8,106,300 8,106,300 0.0% Interest Tax Collector 10,000 10,000 0.0% Rent Golden Gate Pub Safety Complex 16,800 16,800 0.0% Indirect Cost Reimbursement 8,254,500 8,254,500 0.0% Miscellaneous Revenue 0 0 N/A Sub-Total 384,906,200 384,906,200 0.0% Department Revenues 7,942,300 7,942,300 0.0% Sub-Total General Revenues 392,848,500 392,848,500 0.0% Impact Fee Deferral Program (002)20,200 20,200 0.0% Uninc Area MSTU General Fd (111)405,700 405,700 0.0% Commun Develop (113)180,100 180,100 0.0% Developer Services (131)9,000 9,000 0.0% Tourist Development - Beach (195)0 0 N/A Debt Service Fund (220)0 0 N/A Repay H. Irma Loan to FacMgt (301)2,200,000 2,200,000 0.0% Repay H. Irma Loan to Parks (306)2,500,000 2,500,000 0.0% Repay H. Irma Loan to SolidW (474)7,000,000 7,000,000 0.0% Water-Sewer District (408)200,000 200,000 0.0% Health & Life Ins (517)1,000,000 1,000,000 0.0% Board Interest 750,000 750,000 0.0% Transfer from Clerk of Circuit Court 100,000 100,000 0.0% Transfer from Tax Collector 6,000,000 6,000,000 0.0% Transfer from Sheriff 0 0 N/A Transfer from Property Appraiser 500,000 500,000 0.0% Transfer from Supervisor of Elections 0 0 N/A Carryforward 41,381,100 41,381,100 0.0% Less 5% Required by Law (19,191,900) (19,191,900)0.0% Total Other Sources 43,054,200 43,054,200 0.0% Total Fund Revenues 435,902,700 0 435,902,700 0.0% - - To restore general governmental Stormwater Operations and Capital Funding through a reduction in reserves and increase respective transfer appropriations to Stormwater Operation Fund (103) and Capital Maintenance Fund (325). BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET TRANSPORTATION SERVICES FUND (101) ========================================================================= Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 15,075,400 72,400 15,147,800 0.5% Operating Expenses 6,991,300 4,600 6,995,900 0.1% Indirect Cost Reimbursement 119,000 0 119,000 0.0% Capital Outlay 653,800 3,000 656,800 0.5% Trans to 113 Com Dev Fd 20,000 0 20,000 0.0% Trans to 298 Sp Ob Bond 1,208,800 0 1,208,800 0.0% Trans to 523 Motor Pool Cap 0 430,000 430,000 N/A Reserves for Contingencies 181,700 (110,000)71,700 -60.5% Reserves for Attrition (301,500)0 (301,500)0.0%_______________________________________ Total Appropriation 23,948,500 400,000 24,348,500 1.7% Revenues Intergovernmental Revenues 861,800 0 861,800 0.0% SFWMD/Big Cypress Revenue 1,000,000 0 1,000,000 0.0% Charges for Services 9,000 0 9,000 0.0% Misc Revenues 110,200 0 110,200 0.0% Interest/Misc 15,000 0 15,000 0.0% Reimb from Other Depts 221,000 0 221,000 0.0% Trans fm 001 General Fund 20,154,300 0 20,154,300 0.0% Trans fm 495 Airport Ops Fund 15,000 0 15,000 0.0% Carryforward 1,673,100 400,000 2,073,100 23.9% Less 5% Required by Law (110,900)0 (110,900)0.0%_______________________________________ Total Revenues 23,948,500 400,000 24,348,500 1.7% - - To balance the fund, Reserves were reduced by $110,000 FY18 Forecasted revenues have been updated resulting in the recognition of additional revenues as follows; insurance proceeds $267,000, reimbursements $63,000, interest $18,000, and intergovernmental fees $52,000. This resulted in an increase in FY 19 Carryforward (beginning cash balance) of $400,000. The Transfer to the Motor Pool Capital Fund 523 in the amount of $430,000 is for a new Menzi Muck (heavy equipment) needed to maintain ditch and swell maintenance. One expanded FTE is needed to run this new piece of machinery in the amount of $80,000. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET STORMWATER UTILITY FUND (103) ========================================================================= Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 3,223,100 (1,922,800)1,300,300 -59.7% Operating Expenses 1,807,700 (566,800)1,240,900 -31.4% Capital Outlay 97,000 (56,300)40,700 -58.0% Trans to 113 Com Dev Fd 20,000 0 20,000 0.0% Reserves for Contingencies 100,000 0 100,000 0.0% Reserves for Attrition (53,000)0 (53,000)0.0%_______________________________________ Total Appropriation 5,194,800 (2,545,900)2,648,900 -49.0% Revenues Trans fm 001 General Fund 0 1,474,300 1,474,300 N/A Trans fm 111 Unincorp Gen Fd 0 1,174,600 1,174,600 N/A Trans fm 325 Stormwater Capital 5,194,800 (5,194,800)0 -100.0%_______________________________________ Total Revenues 5,194,800 (2,545,900)2,648,900 -49.0% - - Removed twenty three (23) expanded positions and related operating and capital outlay expenses in the amount of $2,545,900. Two expanded positions were retained and budgeted in the Transportation Service Fund 101 and Impact Fee Administration Fund 107. Funding for stormwater will revert back to the General Fund (001) and Unincorporated General Fund (111) transfers. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET IMPACT FEE ADMINISTRATION FUND (107) ========================================================================= Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 704,200 63,700 767,900 9.0% Operating Expenses 360,300 0 360,300 0.0% Indirect Cost Reimbursement 42,200 0 42,200 0.0% Capital Outlay 5,000 0 5,000 0.0% Trans to 113 Com Dev Fd 20,000 0 20,000 0.0% Reserve to Reimb to State 17,300 0 17,300 0.0% Reserves for Contingencies 248,600 (63,700)184,900 -25.6% Reserves for Capital 200,000 0 200,000 0.0%_______________________________________ Total Appropriation 1,597,600 0 1,597,600 0.0% Revenues Licenses & Permits 210,000 0 210,000 0.0% Charges for Services 50,000 0 50,000 0.0% Interest/Misc 2,000 0 2,000 0.0% Reimb from Other Depts 50,000 0 50,000 0.0% Trans fm 111 Unincorp Gen Fd 50,000 0 50,000 0.0% Trans fm 408 Water/Sewer Ops Fd 218,500 0 218,500 0.0% Carryforward 1,032,700 0 1,032,700 0.0% Less 5% Required by Law (15,600)0 (15,600)0.0%_______________________________________ Total Revenues 1,597,600 0 1,597,600 0.0% - - One Stormwater expanded position was retained and transferred to the Impact Fee Administration section. This position is needed for a job bank conversion. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET UNINCORPORATED AREA GENERAL FUND (111) Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Board of County Commissioners 4,339,800 (800,000)3,539,800 -18.4% Communication & Customer Relations Division 1,467,800 1,467,800 0.0% Bureau of Emergency Services Division 75,000 75,000 0.0% Growth Management Administration 556,100 556,100 0.0% Growth Management Planning 1,804,700 1,804,700 0.0% Growth Management Regulation 5,333,600 5,333,600 0.0% Growth Management Maintenance 9,531,300 9,531,300 0.0% Pelican Bay Services Division 150,000 150,000 0.0% Immokalee Community Redevelopment Agency (CRA)212,500 212,500 0.0% Community and Human Services Division 113,100 113,100 0.0% Parks & Recreation Division 14,600,800 14,600,800 0.0% Improvement Districts and MSTU 334,000 334,000 0.0% Sub-Total Operating Divisions 38,518,700 (800,000)37,718,700 -2.1% Trans to Property Appraiser 371,000 371,000 0.0% Trans to Tax Collector 1,085,900 1,085,900 0.0% Advance to 418 W/S Assessment Fd 262,400 262,400 0.0% Trans to 001 General Fund 34,000 34,000 0.0% Trans to 101 Transp Op Fd 0 0 N/A Trans to 103 Stormwater Utility 0 1,174,600 1,174,600 N/A Trans to 107 Impact Fee Admin 50,000 50,000 0.0% Trans to 112 Landscape Fd 3,526,400 3,526,400 0.0% Trans to 113 Com Dev Fd 353,500 353,500 0.0% Trans to 128/712 MPO Fd 5,000 5,000 0.0% Trans to 130 GG Com Ctr Fd 564,700 564,700 0.0% Trans to 131 Plan Serv Fd 219,500 219,500 0.0% Trans to 182 Ave Maria Innov Zn 16,600 16,600 0.0% Trans to 186 Immok Redev Fd 130,100 130,100 0.0% Trans to 187 Bayshore Redev Fd 326,000 326,000 0.0% Trans to 306 Parks Cap Fd 3,943,800 (1,193,800)2,750,000 -30.3% Trans to 313 Gas Tax Cap Fd 4,250,000 4,250,000 0.0% Trans to 325 Stormw Cap Fd 0 3,000,000 3,000,000 N/A Trans to 418 W/S Assessment Fd 10,000 10,000 0.0% Trans to 506 IT Capital 0 0 N/A Trans to 523 Motor Pool Cap 144,000 144,000 0.0% Sub-Total Transfers 15,292,900 2,980,800 18,273,700 19.5% Reserves for Contingencies 800,000 800,000 0.0% Reserves for Capital 1,222,400 (1,222,400)0 -100.0% Reserves for Cash Flow 2,500,000 2,500,000 0.0% Reserves for Attrition (317,700)(317,700)0.0% Sub-Total Reserves 4,204,700 (1,222,400)2,982,300 -29.1% Total Fund Appropriations 58,016,300 958,400 58,974,700 1.7% Tentative FY 19 % FY 19 Changes Amended Tentative Budget Revenues Budget Increase (Decrease)Budget Change Ad Valorem Taxes 44,208,900 44,208,900 0.0% Delinquent Ad Valorem Taxes 20,000 20,000 0.0% Communications Services Tax 4,500,000 4,500,000 0.0% Licenses & Permits 452,300 452,300 0.0% Special Assessments 33,000 33,000 0.0% Charges For Services 3,136,200 3,136,200 0.0% Fines & Forfeitures 237,000 237,000 0.0% Sub-Total 52,587,400 0 52,587,400 0.0% Miscellaneous Revenues 231,400 231,400 0.0% Interest/Misc 120,000 120,000 0.0% Sub-Total 351,400 0 351,400 0.0% Advance/Repay fm 165 Rock Rd 15,000 15,000 0.0% Advance/Repay fm 186 Im CRA 30,000 30,000 0.0% Advance/Repay fm 418 W/S Assessment 65,400 65,400 0.0% Reimb From Other Depts 21,500 21,500 0.0% Sub-Total 131,900 0 131,900 0.0% Trans frm Property Appraiser 100,000 100,000 0.0% Trans frm Tax Collector 100,000 100,000 0.0% Trans fm 001 Gen Fund 916,600 916,600 0.0% Trans fm 131 Dev Serv Fd 145,700 145,700 0.0% Trans fm 143 Vander Beaut Fd 96,500 96,500 0.0% Trans fm 158 Radio Rd Beaut Fd 46,400 46,400 0.0% Trans fm 151 Sable Palm Rd Ex Fd 3,100 3,100 0.0% Trans fm 152 Lely Golf Beaut Fd 43,500 43,500 0.0% Trans fm 153 G Gate Beaut Fd 44,800 44,800 0.0% Trans fm 159 Forest Lake Fd 57,900 57,900 0.0% Trans fm 165 Rock Rd 4,200 4,200 0.0% Trans fm 324 Stormwater Ops 10,200 10,200 0.0% Trans fm 418 W/S Assessment Fd 1,000 1,000 0.0% Sub-Total 1,569,900 0 1,569,900 0.0% Carry Forward 6,024,500 958,400 6,982,900 15.9% Less 5% Required By Law (2,648,800)(2,648,800)0.0% Sub-Total 3,375,700 958,400 4,334,100 28.4% Total Fund Revenues 58,016,300 958,400 58,974,700 1.7% - - On the revenue side, Carryforward (FY19 beginning cash) increased by $958,400. FY18 Forecasts were updated as follows; addition revenues were received and added to forecast in the amount of $398,400 and Expense projections were updated, decreasing the expected outflow by $560,000. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET UNINCORPORATED AREA GENERAL FUND (111) On the expense side, Stormwater funding was restored to Operations in the amount of $1,174,600 and $3,000,000 for Capital Projects. The Payment in Lieu of Stormwater's assessment applied toward all governmental (federal, state, county) buildings decreased by $800,000. The Parks Capital Fd (306) transfer was also decreased by $1,193,800 as well Reserves in the amount of $1,222,400. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET OCHOPEE FIRE CONTROL DISTRICT FUND (146) ========================================================================= Requested FY 19 % FY 19 Changes Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 0 0 0 N/A Operating Expenses 0 0 0 N/A Indirect Cost Reimbursement 9,600 0 9,600 0.0% Capital Outlay 0 0 0 N/A Remit to Others 1,711,600 257,300 1,968,900 15.0% Trans to Property Appraiser 11,800 0 11,800 0.0% Trans to Tax Collector 27,200 0 27,200 0.0% Trans to 001 Gen Fd 0 0 0 N/A Trans to 714 Co Mgr Match 0 0 0 N/A Reserves for Contingencies 0 0 0 N/A Reserves for Capital 0 0 0 N/A Reserves for Cash Flow 250,000 25,000 275,000 10.0%_______________________________________ Total Appropriation 2,010,200 282,300 2,292,500 14.0% Revenues Ad Valorem Taxes 1,202,500 0 1,202,500 0.0% Delinquent Ad Valorem Taxes 200 0 200 0.0% Charges for Services 0 0 0 N/A Miscellaneous Revenues 1,200 0 1,200 0.0% Interest/Misc 1,000 0 1,000 0.0% Trans frm Property Appraiser 1,400 0 1,400 0.0% Trans fm Tax Collector 9,300 0 9,300 0.0% Trans fm 001 Gen Fd 565,100 0 565,100 0.0% Trans fm 144 Isle of Capri Fire Fd 0 0 0 N/A Trans fm 148 Collier Fire Fd 0 0 0 N/A Carryforward 289,700 282,300 572,000 97.4% Less 5% Required by Law (60,200)0 (60,200)0.0%_______________________________________ Total Revenues 2,010,200 282,300 2,292,500 14.0% - - Forecast revenue and expenditures were adjusted to reflect current activity; which netted an increase of $282,300 to FY 19 Carryforward. Expenses were adjusted under Remit to Others and Reserves for Cash Flow to reflect the adjustment in carryforward. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET CHANGES TO THE FY 2018 TENTATIVE BUDGET BAYSHORE CRA FUND (187)BAYSHORE CRA FUND (187) ========================================================================= Recommended FY 19 % FY 19 Changes Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 490,800 0 490,800 0.0% Operating Expenses 875,500 0 875,500 0.0% Indirect Cost Reimbursement 53,600 0 53,600 0.0% Capital Outlay 403,900 (377,400)26,500 -93.4% Grants and Aids 175,000 0 175,000 0.0% Trans CRA Loan (287)625,100 0 625,100 0.0% Trans (501) IT 0 0 0 N/A Reserves for Contingencies 122,900 0 122,900 0.0% Reserves for Capital 1,543,800 0 1,543,800 0.0% _______________________________________ Total Appropriation 4,290,600 (377,400)3,913,200 -8.8% Revenues Charges for Service 0 0 0 N/A Misc Revenues 0 0 0 N/A Interest/Misc 28,600 0 28,600 0.0% Trans from (001) Gen'l Fund 1,439,900 0 1,439,900 0.0% Trans from (111) MSTD Gen'l Fund 326,000 0 326,000 0.0% Trans from (163) Bayshore MSTU 125,500 0 125,500 0.0% Trans from (164) Haldeman Creek 11,300 0 11,300 0.0% Trans from (183) Immokalee CRA 74,100 0 74,100 0.0% Carryforward 2,286,800 (377,400)1,909,400 -16.5% Less 5% Required by Law (1,600)0 (1,600)0.0% _______________________________________ Total Revenues 4,290,600 (377,400)3,913,200 -8.8% Fund (187) is reduced to reflect expenditure for the Bayshore Drive Parking Lot land purchase occurring in FY18. Carry forward into FY19 is reduced and the land purchase budget is reduced to maintain budget balance. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET PARKS AND RECREATION CAPITAL PROJECTS FUND (306) ========================================================================= Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 0 0 0 N/A Operating Expenses 2,100,000 0 2,100,000 0.0% Capital Outlay 3,272,000 0 3,272,000 0.0% Reserves for Capital 1,193,800 (1,193,800)0 -100.0%_______________________________________ Total Appropriation 6,565,800 (1,193,800)5,372,000 -18.2% Revenues Interest/Misc 20,000 0 20,000 0.0% Trans fm 001 General Fund 1,100,000 0 1,100,000 0.0% Trans fm 111 Unincorp Gen Fd 3,943,800 (1,193,800)2,750,000 -30.3% Carryforward 1,503,000 0 1,503,000 0.0% Less 5% Required by Law (1,000)0 (1,000)0.0%_______________________________________ Total Revenues 6,565,800 (1,193,800)5,372,000 -18.2% - - Postponement of the Stormwater Utility eliminated the availability in FY 2019 of freed up money which in part benefited Parks Capital Projects Fund reserves. These reserves are eliminated. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET STORMWATER CAPITAL FUND (325) ========================================================================= Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 1,100 0 1,100 0.0% Operating Expenses 4,560,100 (1,171,200)3,388,900 -25.7% Capital Outlay 7,458,800 (5,115,800)2,343,000 -68.6% Trans to Property Appraiser 315,000 (315,000)0 -100.0% Trans to Tax Collector 420,000 (420,000)0 -100.0% Trans to 103 Stormwater Utility 5,194,800 (5,194,800)0 -100.0% Trans to 523 Motor Pool 1,630,000 (1,630,000)0 -100.0% Reserves for Contingencies 546,700 (546,700)0 -100.0%_______________________________________ Total Appropriation 20,126,500 (14,393,500)5,733,000 -71.5% Revenues Stormwater Special Assessment 20,050,000 (20,050,000)0 -100.0% Charges for Services 950,000 (950,000)0 -100.0% Interest/Misc 97,000 0 97,000 0.0% Trans fm 001 General Fund 0 2,500,000 2,500,000 N/A Trans fm 111 Unincorp Gen Fd 0 3,000,000 3,000,000 N/A Carryforward 84,300 56,600 140,900 67.1% Less 5% Required by Law (1,054,800)1,049,900 (4,900)-99.5%_______________________________________ Total Revenues 20,126,500 (14,393,500)5,733,000 -71.5% - - Funding for Stormwater Capital will revert back to General Fund (001) and Unincorporated General Fund (111) transfers. The funding level of $5.5 million is consistent with the Budget Policy approved by the Board on March 13, 2018, item 11.F. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET WASTEWATER CAPITAL FUND (414) ========================================================================= Recommended FY 19 % FY 19 Changes Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 0 0 0 N/A Operating Expenses 13,370,000 0 13,370,000 0.0% Capital Outlay 14,595,000 0 14,595,000 0.0% Reserves for Contingencies 2,796,500 0 2,796,500 0.0% Reserves for Capital 5,015,500 2,354,000 7,369,500 46.9%_______________________________________ Total Appropriation 35,777,000 2,354,000 38,131,000 6.6% Revenues Interest/Misc 800,000 0 800,000 0.0% Trans fm 408 Water/Sewer Ops 36,012,800 0 36,012,800 0.0% Adv/Repay fm 474 SolidWaste 2,845,400 0 2,845,400 0.0% Carryforward (3,841,200)2,354,000 (1,487,200)-61.3% Less 5% Required by Law (40,000)0 (40,000)0.0%_______________________________________ Total Revenues 35,777,000 2,354,000 38,131,000 6.6% - - In the past month, an additional $2,354,000 in insurance proceeds have been received and recognized in the FY18 Forecast. This resulted in an increase in FY 19 Carryforward (beginning cash balance) and the money was placed into Reserves. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET COLLIER AREA TRANSIT (CAT) GRANT MATCH FUND (425) ========================================================================= Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 0 0 0 N/A Operating Expenses 0 0 0 N/A Capital Outlay 0 0 0 N/A Trans to 425 CAT Grant Match 0 0 0 N/A Reserves for Contingencies 394,700 10,000 404,700 2.5% Reserves for Capital 0 0 0 N/A_______________________________________ Total Appropriation 394,700 10,000 404,700 2.5% Revenues Charges for Services 0 0 0 N/A Misc Revenues 0 0 0 N/A Interest/Misc 0 0 0 N/A Trans fm 001 General Fund 394,700 10,000 404,700 2.5% Carryforward 0 0 0 N/A Less 5% Required by Law 0 0 0 N/A_______________________________________ Total Revenues 394,700 10,000 404,700 2.5% - - Additional funding is needed to support a grant match required by FTA Section 5307 Grant for operating costs of the CAT transit system. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET COLLIER AREA TRANSIT (CAT) ENHANCEMENTS FUND (426) ========================================================================= Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 363,100 0 363,100 0.0% Operating Expenses 2,248,300 (10,000)2,238,300 -0.4% Capital Outlay 20,000 0 20,000 0.0% Reserves for Contingencies 0 0 0 N/A Reserves for Capital 0 0 0 N/A_______________________________________ Total Appropriation 2,631,400 (10,000)2,621,400 -0.4% Revenues Charges for Services 961,000 0 961,000 0.0% Misc Revenues 45,000 0 45,000 0.0% Interest/Misc 0 0 0 N/A Trans fm 001 General Fund 1,558,200 (10,000)1,548,200 -0.6% Carryforward 117,500 0 117,500 0.0% Less 5% Required by Law (50,300)0 (50,300)0.0%_______________________________________ Total Revenues 2,631,400 (10,000)2,621,400 -0.4% - - Additional funding is needed to support a grant match required by FTA Section 5307 Grant for operating costs of the CAT transit system. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET AIRPORT CAPITAL FUND (496) ========================================================================= Recommended FY 19 % FY 19 Changes Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 0 0 0 N/A Operating Expenses 562,500 0 562,500 0.0% Capital Outlay 0 0 0 N/A Reserves for Contingencies 0 0 0 N/A Reserves for Capital 427,500 39,100 466,600 9.1%_______________________________________ Total Appropriation 990,000 39,100 1,029,100 3.9% Revenues Interest/Misc 0 0 0 N/A Adv/Repay fm 001 Gen Fd 445,000 0 445,000 0.0% Trans fm 495 Airport Ops 500,000 0 500,000 0.0% Carryforward 45,000 39,100 84,100 86.9% Less 5% Required by Law 0 0 0 N/A_______________________________________ Total Revenues 990,000 39,100 1,029,100 3.9% - - In the past month, an additional $39,100 in insurance proceeds have been received and recognized in the FY18 Forecast. This resulted in an increase in FY 19 Carryforward (beginning cash balance) and the money was placed into Reserves. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET MOTOR POOL CAPITAL FUND (523) ========================================================================= Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 94,100 0 94,100 0.0% Operating Expenses 48,600 0 48,600 0.0% Capital Outlay 6,542,800 (1,200,000)5,342,800 -18.3% Trans to 491 EMS MP Fd 5,800 0 5,800 0.0% Reserves for Gen Fd Motor Pool Cap 1,047,500 0 1,047,500 0.0% Reserves for Transp Motor Pool Cap 1,657,700 0 1,657,700 0.0% Reserves for Stormwtr Motor Pool Cap 188,800 0 188,800 0.0% Reserves for MSTU Gen Fd MP Cap 806,200 0 806,200 0.0% Reserves for Com Dev/Planning MP Cap 907,000 0 907,000 0.0% Reserves for Pollut Ctr Motor Pool Cap 67,800 0 67,800 0.0% Reserves for Int Serv Fd Motor Pool Cap 89,600 0 89,600 0.0%_______________________________ Total Appropriation 11,455,900 (1,200,000)10,255,900 -10.5% Revenues Misc Revenues 0 0 0 N/A Interest/Misc 50,000 0 50,000 0.0% Motor Pool Cap Recovery Billing 3,480,100 0 3,480,100 0.0% Trans fm 001 Gen Fd 110,000 0 110,000 0.0% Trans fm 101 Transp Op Fd 0 430,000 430,000 N/A Trans fm 111 MSTD Gen Fd 144,000 0 144,000 0.0% Trans fm 113 Comm Dev Fd 0 0 0 N/A Trans fm 114 Pollutn Ctr Fd 0 0 0 N/A Trans fm 131 Dev Serv Fd 0 0 0 N/A Trans fm 325 Stormwtr Cap Fd 1,630,000 (1,630,000)0 -100.0% Trans fm 409 W/S MP Fund 30,300 0 30,300 0.0% Trans fm 472 Solid Waste MP Fd 5,900 0 5,900 0.0% Trans fm 491 EMS MP Fund 9,000 0 9,000 0.0% Trans fm 505 IT Ops Fund 35,800 0 35,800 0.0% Trans fm 517 Health Ins Fund 0 0 0 N/A Carryforward 5,963,300 0 5,963,300 0.0% Less 5% Required by Law (2,500)0 (2,500)0.0%_______________________________ Total Revenues 11,455,900 (1,200,000)10,255,900 -10.5% - - All expanded vehicles and heavy equipment (with the exception of the Menzi Muck) have been deleted from the Stormwater program. SUMMARY OF CHANGES TO THE FY 2018 TENTATIVE BUDGET NET CHANGE TO FUND TITLE/(NUMBER)FUND TOTAL EXPLANATION General Fund (001) Major funding sources are Ad Valorem, Half Cent Sales Tax, and State Revenue Sharing $ 0 On the expense side, reserve reductions totaled $3,974,300 was used to restored funding to the Stormwater program by increasing transfers to Stormwater Operation Fund (103) of $1,474,300 and $2,500,000 to Stormwater Capital Fund (325). Transportation Services Fund (101) Major funding source is a Transfer from the General Fund (001) $ 400,000 In FY 19, Carryforward (revenue) increased by $400,000; Insurance Proceed and other revenues collected in FY 18 exceeded forecast amounts by $400,000. On the expense side, the transfer to Motor Pool Capital Fund (523) increased by $430,000 for the purchase of a Menzi Muck (for Stormwater) and operating expenses increased by $80,000 for an expanded heavy equipment operator and operating expenses for the Menzi Muck. The net effect of these changes is a $110,000 reduction to reserves. Stormwater Operations Fund (103) Major funding sources are transfers from the General Fund (001) and Unincorporated General Fund (111) $ (2,545,900)On the revenue side, replaced the transfer from Stormwater Capital fund (325) in the amount of $5,194,800 with a transfer from the General Fund (001) of $1,474,300 and $1,174,600 from the Unincorporated General Fund (111). On the expense side, removed twenty three (23) expanded positions and related costs in the amount of $2,545,900. Impact Fee Administration Fund (107) Major funding sources are from fees. $ 0 On the expense side, personnel expenses increased due to an expanded position in the amount of $63,700, reserved were decreased by a like amount. Unincorporated Area General Fund (111) Major funding sources is Ad Valorem $ 958,400 In FY 19, Carryforward (revenue) increased by $958,400; various revenues collected in FY 18 exceeded forecast amounts by $398,400 and expense projections for FY18 were updated, decreasing the expected outflow by $560,000. On the expense side, Stormwater funding was restored to the Operation Fund (103) in the amount of $1,174,600 and $3,000,000 for Capital Projects Fund (325). The Payment in Lieu of Stormwater' s assessment applied toward all governmental (federal, state, county) buildings decreased by $800,000. The Parks Capital Fd (306) transfer was also decreased by $1,193,800 as well Reserves in the amount of $1,222,400. Ochopee Fire & Control District Fund (146) Major funding sources are Ad Valorem and a transfer from the General Fund (001) $ 282,300 In FY 19, Carryforward (revenue) increased by $282,300; various revenues collected in FY 18 exceeded forecast amounts by $14,300 and expense projections for FY18 were updated, decreasing the expected outflow by $268,000. On the expense side, Remittances to Greater Naples Fire increased by $257,300 and reserves increased by $25,000. Bayshore CRA Fund (187) Major source of funding is Tax Increment Financing $ (377,400)Fund (187) is modified to reflect expenditure for the Bayshore Drive Parking Lot land purchase occurring in FY18. Carry forward into FY19 is reduced and the land purchase budget is reduced. Parks and Recreation Capital Project Fund (306) Major source of funding are transfers from the General Fund (001) and Unincorporated General Fund (111) $ (1,193,800)On the revenue side, the transfer from the Unincorporated Area General Fund (111) decreased by $1,193,800 due to the postponement of the Stormwater Utility. On the expense side, reserves are eliminated. SUMMARY OF CHANGES TO THE FY 2018 TENTATIVE BUDGET NET CHANGE TO FUND TITLE/(NUMBER)FUND TOTAL EXPLANATION Stormwater Capital Project Fund (325) Major source of funding are transfers from the General Fund (001) and Unincorporated General Fund (111) $ (14,393,500)On the revenue side, the stormwater assessment net the revenue reserve in the amount of $19,950,000 was eliminated and replaced with transfers from the General Fund (001) in the amount of $2,500,000 and $3,000,000 from the Unincorporated General Fund (111). The funding level of $5.5 million is consistent with the Budget Policy approved by the Board on March 13, 2018, item 11.F. On the expense side, cost associated with the assessment were eliminated in the amount of $735,000, the transfer to the Stormwater Operating Fund (103) of $5,194,800 was eliminated, the transfer to the Motor Pool Capital Fund (523) of $1,630,000 was eliminated, reserves in the amount of $546,700 were eliminated and capital projects were reduced by $6,287,000. Wastewater Capital Fund (414) Major source of funding is a transfer from Water / Sewer Operating Fund (408) $ 2,354,000 In FY 19, Carryforward (revenue) increased by $2,354,000 and Reserves increased by $2,354,000. Insurance proceed revenue collected in FY 18 exceeded forecast amounts by $2,354,000. These funds will be allocated toward capital projects in FY 19 by Executive Summary. Collier Area Transit (CAT) Grant Match Fund (425) Major source of funding is a transfer from the General Fund (001) $ 10,000 On the revenue side, transfer from the General Fund (001) increased by $10,000, funds are needed for a future grant match. On the expense side, reserves were increase by $10,000. Collier Area Transit (CAT) Enhancement Fund (426) Major source of funding are a transfer from the General Fund (001) and charges for services. $ (10,000)On the revenue side, transfer from the General Fund (001) decreased by $10,000, the funds are needed for a future grant match in Fund (425). On the expense side, reserves were decrease by $10,000. Airport Capital (496) Major source of funding are transfers from Airport Operating Fund (495) and transfer from General Fund (001) $ 39,100 In FY 19, Carryforward (revenue) increased by $39,100 and Reserves increased by $39,100. Insurance proceed revenue collected in FY 18 exceeded forecast amounts by $39,100. General Governmental Motor Pool Fund (523) Major funding source is User fees $ (1,200,000)On the revenue side, the transfer from Stormwater Capital Fund (325) of $1,630,000 was eliminated. The transfer from Transportation Operations Fund (101) increased by $430,000 to purchase a Menzi Muck. On the expense side, all the expanded equipment requested for the new Stormwater Utility has been eliminated with the exception of the Menzi Muck. Total ($15,676,800) Gross Budget at First Public meeting $1,767,308,700 Gross Amended Tentative Budget $1,751,631,900 BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET GENERAL FUND (001) ============================================================================== Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change County Commissioners 1,287,400 1,287,400 0.0% Other General Administrative 9,687,300 9,687,300 0.0% County Attorney 2,815,500 2,815,500 0.0% Sub-Total 13,790,200 13,790,200 0.0% Management Offices 4,883,500 4,883,500 0.0% Administrative Support Services 8,121,200 8,121,200 0.0% Public Services 35,590,400 35,590,400 0.0% Growth Management 107,300 107,300 0.0% Public Utilities 16,458,000 16,458,000 0.0% Sub-Total County Manager 65,160,400 65,160,400 0.0% Courts & Rel Agencies 786,300 786,300 0.0% Trans to 681 2,012,400 2,012,400 0.0% Sub-Total Courts 2,798,700 2,798,700 0.0% Road & Bridge (101)20,154,300 20,154,300 0.0% Stormwater Utility (103)0 1,474,300 1,474,300 N/A Uninc Area MSTU General Fd (111)127,400 127,400 0.0% Ochopee Fire District (146)565,100 565,100 0.0% Ave Maria Innovation Zone (182)73,200 73,200 0.0% Immokalee Redevelopment (186)574,900 574,900 0.0% Gateway Triangle (187)1,439,900 1,439,900 0.0% 800 MHz (188)730,400 730,400 0.0% Museum (198)200,000 200,000 0.0% Collier Area Transit (425/426)1,952,900 1,952,900 0.0% Transportation Disadvantage (427/429)2,604,700 2,604,700 0.0% EMS (490)18,018,600 18,018,600 0.0% IT Projects (506)430,600 430,600 0.0% Motor Pool Capital Recovery (523)110,000 110,000 0.0% Legal Aid Society (652)147,700 147,700 0.0% Grant Match for Hardening (700)2,000,000 2,000,000 0.0% Emergency management Grants 34,500 34,500 0.0% Amateur Sports complex Ops (759)1,728,600 1,728,600 0.0% Sub-Total 50,892,800 52,367,100 2.9% Reserve for Cash Flow 39,800,000 (3,800,000)36,000,000 -9.5% Reserve for Contingencies 9,193,500 (174,300)9,019,200 -1.9% Reserve for Attrition (538,000) (538,000) 0.0% Sub-Total Reserves 48,455,500 44,481,200 -8.2% Transfers Debt/Capital Special Obligation Bonds (298)2,775,900 2,775,900 0.0% Commercial Paper Loans (299)703,500 703,500 0.0% Co Wide Capital (301)15,335,700 15,335,700 0.0% Parks Capital (306)1,100,000 1,100,000 0.0% Transportation Capital (310)8,555,800 8,555,800 0.0% Museum Capital (314)200,000 200,000 0.0% Stormwater Mgmt. (325)0 2,500,000 2,500,000 N/A Airport Capital/Grants (496-499)445,000 445,000 0.0% Sub-Total Debt/Capital 29,115,900 31,615,900 8.6% Transfers/Constitutional Officers Clerk of Courts 7,367,000 7,367,000 0.0% Clerk of Courts - BCC Paid 502,100 502,100 0.0% Property Appraiser 6,526,600 6,526,600 0.0% Property Appraiser -BCC Paid 179,900 179,900 0.0% Sheriff 187,203,400 187,203,400 0.0% Sheriff - BCC Paid 3,504,900 3,504,900 0.0% Supervisor of Elections 3,807,900 3,807,900 0.0% Supervisor of Elections - BCC Paid 66,600 66,600 0.0% Tax Collector 16,306,600 16,306,600 0.0% Tax Collector - BCC Paid 224,200 224,200 0.0% Sub-Total/Trans Const.225,689,200 225,689,200 0.0% Total Fund Appropriations 435,902,700 0 435,902,700 0.0% BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET GENERAL FUND (001) ============================================================================== Tentative FY 19 % FY 19 Changes Amended Tentative Budget Revenues Budget Increase (Decrease)Budget Change Current Ad Valorem Taxes 314,773,600 314,773,600 0.0% Delinquent Ad Valorem Taxes 50,000 50,000 0.0% Fish And Wildlife Refuge Rev Sharing 140,000 140,000 0.0% Federal Payment In Lieu Of Taxes 1,250,000 1,250,000 0.0% State Revenue Sharing 11,000,000 11,000,000 0.0% Insurance Agents County Licenses 75,000 75,000 0.0% Alcoholic Beverage Licenses 180,000 180,000 0.0% Local Government Half Cent Sales Tax 41,000,000 41,000,000 0.0% Oil/Gas Severance Tax 50,000 50,000 0.0% Enterprise Fund PILOT 8,106,300 8,106,300 0.0% Interest Tax Collector 10,000 10,000 0.0% Rent Golden Gate Pub Safety Complex 16,800 16,800 0.0% Indirect Cost Reimbursement 8,254,500 8,254,500 0.0% Miscellaneous Revenue 0 0 N/A Sub-Total 384,906,200 384,906,200 0.0% Department Revenues 7,942,300 7,942,300 0.0% Sub-Total General Revenues 392,848,500 392,848,500 0.0% Impact Fee Deferral Program (002)20,200 20,200 0.0% Uninc Area MSTU General Fd (111)405,700 405,700 0.0% Commun Develop (113)180,100 180,100 0.0% Developer Services (131)9,000 9,000 0.0% Tourist Development - Beach (195)0 0 N/A Debt Service Fund (220)0 0 N/A Repay H. Irma Loan to FacMgt (301)2,200,000 2,200,000 0.0% Repay H. Irma Loan to Parks (306)2,500,000 2,500,000 0.0% Repay H. Irma Loan to SolidW (474)7,000,000 7,000,000 0.0% Water-Sewer District (408)200,000 200,000 0.0% Health & Life Ins (517)1,000,000 1,000,000 0.0% Board Interest 750,000 750,000 0.0% Transfer from Clerk of Circuit Court 100,000 100,000 0.0% Transfer from Tax Collector 6,000,000 6,000,000 0.0% Transfer from Sheriff 0 0 N/A Transfer from Property Appraiser 500,000 500,000 0.0% Transfer from Supervisor of Elections 0 0 N/A Carryforward 41,381,100 41,381,100 0.0% Less 5% Required by Law (19,191,900) (19,191,900)0.0% Total Other Sources 43,054,200 43,054,200 0.0% Total Fund Revenues 435,902,700 0 435,902,700 0.0% - - To restore general governmental Stormwater Operations and Capital Funding through a reduction in reserves and increase respective transfer appropriations to Stormwater Operation Fund (103) and Capital Maintenance Fund (325). BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET TRANSPORTATION SERVICES FUND (101) ========================================================================= Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 15,075,400 72,400 15,147,800 0.5% Operating Expenses 6,991,300 4,600 6,995,900 0.1% Indirect Cost Reimbursement 119,000 0 119,000 0.0% Capital Outlay 653,800 3,000 656,800 0.5% Trans to 113 Com Dev Fd 20,000 0 20,000 0.0% Trans to 298 Sp Ob Bond 1,208,800 0 1,208,800 0.0% Trans to 523 Motor Pool Cap 0 430,000 430,000 N/A Reserves for Contingencies 181,700 (110,000)71,700 -60.5% Reserves for Attrition (301,500)0 (301,500)0.0%_______________________________________ Total Appropriation 23,948,500 400,000 24,348,500 1.7% Revenues Intergovernmental Revenues 861,800 0 861,800 0.0% SFWMD/Big Cypress Revenue 1,000,000 0 1,000,000 0.0% Charges for Services 9,000 0 9,000 0.0% Misc Revenues 110,200 0 110,200 0.0% Interest/Misc 15,000 0 15,000 0.0% Reimb from Other Depts 221,000 0 221,000 0.0% Trans fm 001 General Fund 20,154,300 0 20,154,300 0.0% Trans fm 495 Airport Ops Fund 15,000 0 15,000 0.0% Carryforward 1,673,100 400,000 2,073,100 23.9% Less 5% Required by Law (110,900)0 (110,900)0.0%_______________________________________ Total Revenues 23,948,500 400,000 24,348,500 1.7% - - To balance the fund, Reserves were reduced by $110,000 FY18 Forecasted revenues have been updated resulting in the recognition of additional revenues as follows; insurance proceeds $267,000, reimbursements $63,000, interest $18,000, and intergovernmental fees $52,000. This resulted in an increase in FY 19 Carryforward (beginning cash balance) of $400,000. The Transfer to the Motor Pool Capital Fund 523 in the amount of $430,000 is for a new Menzi Muck (heavy equipment) needed to maintain ditch and swell maintenance. One expanded FTE is needed to run this new piece of machinery in the amount of $80,000. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET STORMWATER UTILITY FUND (103) ========================================================================= Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 3,223,100 (1,922,800)1,300,300 -59.7% Operating Expenses 1,807,700 (566,800)1,240,900 -31.4% Capital Outlay 97,000 (56,300)40,700 -58.0% Trans to 113 Com Dev Fd 20,000 0 20,000 0.0% Reserves for Contingencies 100,000 0 100,000 0.0% Reserves for Attrition (53,000)0 (53,000)0.0%_______________________________________ Total Appropriation 5,194,800 (2,545,900)2,648,900 -49.0% Revenues Trans fm 001 General Fund 0 1,474,300 1,474,300 N/A Trans fm 111 Unincorp Gen Fd 0 1,174,600 1,174,600 N/A Trans fm 325 Stormwater Capital 5,194,800 (5,194,800)0 -100.0%_______________________________________ Total Revenues 5,194,800 (2,545,900)2,648,900 -49.0% - - Removed twenty three (23) expanded positions and related operating and capital outlay expenses in the amount of $2,545,900. Two expanded positions were retained and budgeted in the Transportation Service Fund 101 and Impact Fee Administration Fund 107. Funding for stormwater will revert back to the General Fund (001) and Unincorporated General Fund (111) transfers. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET IMPACT FEE ADMINISTRATION FUND (107) ========================================================================= Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 704,200 63,700 767,900 9.0% Operating Expenses 360,300 0 360,300 0.0% Indirect Cost Reimbursement 42,200 0 42,200 0.0% Capital Outlay 5,000 0 5,000 0.0% Trans to 113 Com Dev Fd 20,000 0 20,000 0.0% Reserve to Reimb to State 17,300 0 17,300 0.0% Reserves for Contingencies 248,600 (63,700)184,900 -25.6% Reserves for Capital 200,000 0 200,000 0.0%_______________________________________ Total Appropriation 1,597,600 0 1,597,600 0.0% Revenues Licenses & Permits 210,000 0 210,000 0.0% Charges for Services 50,000 0 50,000 0.0% Interest/Misc 2,000 0 2,000 0.0% Reimb from Other Depts 50,000 0 50,000 0.0% Trans fm 111 Unincorp Gen Fd 50,000 0 50,000 0.0% Trans fm 408 Water/Sewer Ops Fd 218,500 0 218,500 0.0% Carryforward 1,032,700 0 1,032,700 0.0% Less 5% Required by Law (15,600)0 (15,600)0.0%_______________________________________ Total Revenues 1,597,600 0 1,597,600 0.0% - - One Stormwater expanded position was retained and transferred to the Impact Fee Administration section. This position is needed for a job bank conversion. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET UNINCORPORATED AREA GENERAL FUND (111) Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Board of County Commissioners 4,339,800 (800,000)3,539,800 -18.4% Communication & Customer Relations Division 1,467,800 1,467,800 0.0% Bureau of Emergency Services Division 75,000 75,000 0.0% Growth Management Administration 556,100 556,100 0.0% Growth Management Planning 1,804,700 1,804,700 0.0% Growth Management Regulation 5,333,600 5,333,600 0.0% Growth Management Maintenance 9,531,300 9,531,300 0.0% Pelican Bay Services Division 150,000 150,000 0.0% Immokalee Community Redevelopment Agency (CRA)212,500 212,500 0.0% Community and Human Services Division 113,100 113,100 0.0% Parks & Recreation Division 14,600,800 14,600,800 0.0% Improvement Districts and MSTU 334,000 334,000 0.0% Sub-Total Operating Divisions 38,518,700 (800,000)37,718,700 -2.1% Trans to Property Appraiser 371,000 371,000 0.0% Trans to Tax Collector 1,085,900 1,085,900 0.0% Advance to 418 W/S Assessment Fd 262,400 262,400 0.0% Trans to 001 General Fund 34,000 34,000 0.0% Trans to 101 Transp Op Fd 0 0 N/A Trans to 103 Stormwater Utility 0 1,174,600 1,174,600 N/A Trans to 107 Impact Fee Admin 50,000 50,000 0.0% Trans to 112 Landscape Fd 3,526,400 3,526,400 0.0% Trans to 113 Com Dev Fd 353,500 353,500 0.0% Trans to 128/712 MPO Fd 5,000 5,000 0.0% Trans to 130 GG Com Ctr Fd 564,700 564,700 0.0% Trans to 131 Plan Serv Fd 219,500 219,500 0.0% Trans to 182 Ave Maria Innov Zn 16,600 16,600 0.0% Trans to 186 Immok Redev Fd 130,100 130,100 0.0% Trans to 187 Bayshore Redev Fd 326,000 326,000 0.0% Trans to 306 Parks Cap Fd 3,943,800 (1,193,800)2,750,000 -30.3% Trans to 313 Gas Tax Cap Fd 4,250,000 4,250,000 0.0% Trans to 325 Stormw Cap Fd 0 3,000,000 3,000,000 N/A Trans to 418 W/S Assessment Fd 10,000 10,000 0.0% Trans to 506 IT Capital 0 0 N/A Trans to 523 Motor Pool Cap 144,000 144,000 0.0% Sub-Total Transfers 15,292,900 2,980,800 18,273,700 19.5% Reserves for Contingencies 800,000 800,000 0.0% Reserves for Capital 1,222,400 (1,222,400)0 -100.0% Reserves for Cash Flow 2,500,000 2,500,000 0.0% Reserves for Attrition (317,700)(317,700)0.0% Sub-Total Reserves 4,204,700 (1,222,400)2,982,300 -29.1% Total Fund Appropriations 58,016,300 958,400 58,974,700 1.7% Tentative FY 19 % FY 19 Changes Amended Tentative Budget Revenues Budget Increase (Decrease)Budget Change Ad Valorem Taxes 44,208,900 44,208,900 0.0% Delinquent Ad Valorem Taxes 20,000 20,000 0.0% Communications Services Tax 4,500,000 4,500,000 0.0% Licenses & Permits 452,300 452,300 0.0% Special Assessments 33,000 33,000 0.0% Charges For Services 3,136,200 3,136,200 0.0% Fines & Forfeitures 237,000 237,000 0.0% Sub-Total 52,587,400 0 52,587,400 0.0% Miscellaneous Revenues 231,400 231,400 0.0% Interest/Misc 120,000 120,000 0.0% Sub-Total 351,400 0 351,400 0.0% Advance/Repay fm 165 Rock Rd 15,000 15,000 0.0% Advance/Repay fm 186 Im CRA 30,000 30,000 0.0% Advance/Repay fm 418 W/S Assessment 65,400 65,400 0.0% Reimb From Other Depts 21,500 21,500 0.0% Sub-Total 131,900 0 131,900 0.0% Trans frm Property Appraiser 100,000 100,000 0.0% Trans frm Tax Collector 100,000 100,000 0.0% Trans fm 001 Gen Fund 916,600 916,600 0.0% Trans fm 131 Dev Serv Fd 145,700 145,700 0.0% Trans fm 143 Vander Beaut Fd 96,500 96,500 0.0% Trans fm 158 Radio Rd Beaut Fd 46,400 46,400 0.0% Trans fm 151 Sable Palm Rd Ex Fd 3,100 3,100 0.0% Trans fm 152 Lely Golf Beaut Fd 43,500 43,500 0.0% Trans fm 153 G Gate Beaut Fd 44,800 44,800 0.0% Trans fm 159 Forest Lake Fd 57,900 57,900 0.0% Trans fm 165 Rock Rd 4,200 4,200 0.0% Trans fm 324 Stormwater Ops 10,200 10,200 0.0% Trans fm 418 W/S Assessment Fd 1,000 1,000 0.0% Sub-Total 1,569,900 0 1,569,900 0.0% Carry Forward 6,024,500 958,400 6,982,900 15.9% Less 5% Required By Law (2,648,800)(2,648,800)0.0% Sub-Total 3,375,700 958,400 4,334,100 28.4% Total Fund Revenues 58,016,300 958,400 58,974,700 1.7% - - On the revenue side, Carryforward (FY19 beginning cash) increased by $958,400. FY18 Forecasts were updated as follows; addition revenues were received and added to forecast in the amount of $398,400 and Expense projections were updated, decreasing the expected outflow by $560,000. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET UNINCORPORATED AREA GENERAL FUND (111) On the expense side, Stormwater funding was restored to Operations in the amount of $1,174,600 and $3,000,000 for Capital Projects. The Payment in Lieu of Stormwater's assessment applied toward all governmental (federal, state, county) buildings decreased by $800,000. The Parks Capital Fd (306) transfer was also decreased by $1,193,800 as well Reserves in the amount of $1,222,400. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET OCHOPEE FIRE CONTROL DISTRICT FUND (146) ========================================================================= Requested FY 19 % FY 19 Changes Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 0 0 0 N/A Operating Expenses 0 0 0 N/A Indirect Cost Reimbursement 9,600 0 9,600 0.0% Capital Outlay 0 0 0 N/A Remit to Others 1,711,600 257,300 1,968,900 15.0% Trans to Property Appraiser 11,800 0 11,800 0.0% Trans to Tax Collector 27,200 0 27,200 0.0% Trans to 001 Gen Fd 0 0 0 N/A Trans to 714 Co Mgr Match 0 0 0 N/A Reserves for Contingencies 0 0 0 N/A Reserves for Capital 0 0 0 N/A Reserves for Cash Flow 250,000 25,000 275,000 10.0%_______________________________________ Total Appropriation 2,010,200 282,300 2,292,500 14.0% Revenues Ad Valorem Taxes 1,202,500 0 1,202,500 0.0% Delinquent Ad Valorem Taxes 200 0 200 0.0% Charges for Services 0 0 0 N/A Miscellaneous Revenues 1,200 0 1,200 0.0% Interest/Misc 1,000 0 1,000 0.0% Trans frm Property Appraiser 1,400 0 1,400 0.0% Trans fm Tax Collector 9,300 0 9,300 0.0% Trans fm 001 Gen Fd 565,100 0 565,100 0.0% Trans fm 144 Isle of Capri Fire Fd 0 0 0 N/A Trans fm 148 Collier Fire Fd 0 0 0 N/A Carryforward 289,700 282,300 572,000 97.4% Less 5% Required by Law (60,200)0 (60,200)0.0%_______________________________________ Total Revenues 2,010,200 282,300 2,292,500 14.0% - - Forecast revenue and expenditures were adjusted to reflect current activity; which netted an increase of $282,300 to FY 19 Carryforward. Expenses were adjusted under Remit to Others and Reserves for Cash Flow to reflect the adjustment in carryforward. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET CHANGES TO THE FY 2018 TENTATIVE BUDGET BAYSHORE CRA FUND (187)BAYSHORE CRA FUND (187) ========================================================================= Recommended FY 19 % FY 19 Changes Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 490,800 0 490,800 0.0% Operating Expenses 875,500 0 875,500 0.0% Indirect Cost Reimbursement 53,600 0 53,600 0.0% Capital Outlay 403,900 (377,400)26,500 -93.4% Grants and Aids 175,000 0 175,000 0.0% Trans CRA Loan (287)625,100 0 625,100 0.0% Trans (501) IT 0 0 0 N/A Reserves for Contingencies 122,900 0 122,900 0.0% Reserves for Capital 1,543,800 0 1,543,800 0.0% _______________________________________ Total Appropriation 4,290,600 (377,400)3,913,200 -8.8% Revenues Charges for Service 0 0 0 N/A Misc Revenues 0 0 0 N/A Interest/Misc 28,600 0 28,600 0.0% Trans from (001) Gen'l Fund 1,439,900 0 1,439,900 0.0% Trans from (111) MSTD Gen'l Fund 326,000 0 326,000 0.0% Trans from (163) Bayshore MSTU 125,500 0 125,500 0.0% Trans from (164) Haldeman Creek 11,300 0 11,300 0.0% Trans from (183) Immokalee CRA 74,100 0 74,100 0.0% Carryforward 2,286,800 (377,400)1,909,400 -16.5% Less 5% Required by Law (1,600)0 (1,600)0.0% _______________________________________ Total Revenues 4,290,600 (377,400)3,913,200 -8.8% Fund (187) is reduced to reflect expenditure for the Bayshore Drive Parking Lot land purchase occurring in FY18. Carry forward into FY19 is reduced and the land purchase budget is reduced to maintain budget balance. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET PARKS AND RECREATION CAPITAL PROJECTS FUND (306) ========================================================================= Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 0 0 0 N/A Operating Expenses 2,100,000 0 2,100,000 0.0% Capital Outlay 3,272,000 0 3,272,000 0.0% Reserves for Capital 1,193,800 (1,193,800)0 -100.0%_______________________________________ Total Appropriation 6,565,800 (1,193,800)5,372,000 -18.2% Revenues Interest/Misc 20,000 0 20,000 0.0% Trans fm 001 General Fund 1,100,000 0 1,100,000 0.0% Trans fm 111 Unincorp Gen Fd 3,943,800 (1,193,800)2,750,000 -30.3% Carryforward 1,503,000 0 1,503,000 0.0% Less 5% Required by Law (1,000)0 (1,000)0.0%_______________________________________ Total Revenues 6,565,800 (1,193,800)5,372,000 -18.2% - - Postponement of the Stormwater Utility eliminated the availability in FY 2019 of freed up money which in part benefited Parks Capital Projects Fund reserves. These reserves are eliminated. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET STORMWATER CAPITAL FUND (325) ========================================================================= Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 1,100 0 1,100 0.0% Operating Expenses 4,560,100 (1,171,200)3,388,900 -25.7% Capital Outlay 7,458,800 (5,115,800)2,343,000 -68.6% Trans to Property Appraiser 315,000 (315,000)0 -100.0% Trans to Tax Collector 420,000 (420,000)0 -100.0% Trans to 103 Stormwater Utility 5,194,800 (5,194,800)0 -100.0% Trans to 523 Motor Pool 1,630,000 (1,630,000)0 -100.0% Reserves for Contingencies 546,700 (546,700)0 -100.0%_______________________________________ Total Appropriation 20,126,500 (14,393,500)5,733,000 -71.5% Revenues Stormwater Special Assessment 20,050,000 (20,050,000)0 -100.0% Charges for Services 950,000 (950,000)0 -100.0% Interest/Misc 97,000 0 97,000 0.0% Trans fm 001 General Fund 0 2,500,000 2,500,000 N/A Trans fm 111 Unincorp Gen Fd 0 3,000,000 3,000,000 N/A Carryforward 84,300 56,600 140,900 67.1% Less 5% Required by Law (1,054,800)1,049,900 (4,900)-99.5%_______________________________________ Total Revenues 20,126,500 (14,393,500)5,733,000 -71.5% - - Funding for Stormwater Capital will revert back to General Fund (001) and Unincorporated General Fund (111) transfers. The funding level of $5.5 million is consistent with the Budget Policy approved by the Board on March 13, 2018, item 11.F. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET WASTEWATER CAPITAL FUND (414) ========================================================================= Recommended FY 19 % FY 19 Changes Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 0 0 0 N/A Operating Expenses 13,370,000 0 13,370,000 0.0% Capital Outlay 14,595,000 0 14,595,000 0.0% Reserves for Contingencies 2,796,500 0 2,796,500 0.0% Reserves for Capital 5,015,500 2,354,000 7,369,500 46.9%_______________________________________ Total Appropriation 35,777,000 2,354,000 38,131,000 6.6% Revenues Interest/Misc 800,000 0 800,000 0.0% Trans fm 408 Water/Sewer Ops 36,012,800 0 36,012,800 0.0% Adv/Repay fm 474 SolidWaste 2,845,400 0 2,845,400 0.0% Carryforward (3,841,200)2,354,000 (1,487,200)-61.3% Less 5% Required by Law (40,000)0 (40,000)0.0%_______________________________________ Total Revenues 35,777,000 2,354,000 38,131,000 6.6% - - In the past month, an additional $2,354,000 in insurance proceeds have been received and recognized in the FY18 Forecast. This resulted in an increase in FY 19 Carryforward (beginning cash balance) and the money was placed into Reserves. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET COLLIER AREA TRANSIT (CAT) GRANT MATCH FUND (425) ========================================================================= Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 0 0 0 N/A Operating Expenses 0 0 0 N/A Capital Outlay 0 0 0 N/A Trans to 425 CAT Grant Match 0 0 0 N/A Reserves for Contingencies 394,700 10,000 404,700 2.5% Reserves for Capital 0 0 0 N/A_______________________________________ Total Appropriation 394,700 10,000 404,700 2.5% Revenues Charges for Services 0 0 0 N/A Misc Revenues 0 0 0 N/A Interest/Misc 0 0 0 N/A Trans fm 001 General Fund 394,700 10,000 404,700 2.5% Carryforward 0 0 0 N/A Less 5% Required by Law 0 0 0 N/A_______________________________________ Total Revenues 394,700 10,000 404,700 2.5% - - Additional funding is needed to support a grant match required by FTA Section 5307 Grant for operating costs of the CAT transit system. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET COLLIER AREA TRANSIT (CAT) ENHANCEMENTS FUND (426) ========================================================================= Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 363,100 0 363,100 0.0% Operating Expenses 2,248,300 (10,000)2,238,300 -0.4% Capital Outlay 20,000 0 20,000 0.0% Reserves for Contingencies 0 0 0 N/A Reserves for Capital 0 0 0 N/A_______________________________________ Total Appropriation 2,631,400 (10,000)2,621,400 -0.4% Revenues Charges for Services 961,000 0 961,000 0.0% Misc Revenues 45,000 0 45,000 0.0% Interest/Misc 0 0 0 N/A Trans fm 001 General Fund 1,558,200 (10,000)1,548,200 -0.6% Carryforward 117,500 0 117,500 0.0% Less 5% Required by Law (50,300)0 (50,300)0.0%_______________________________________ Total Revenues 2,631,400 (10,000)2,621,400 -0.4% - - Additional funding is needed to support a grant match required by FTA Section 5307 Grant for operating costs of the CAT transit system. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET AIRPORT CAPITAL FUND (496) ========================================================================= Recommended FY 19 % FY 19 Changes Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 0 0 0 N/A Operating Expenses 562,500 0 562,500 0.0% Capital Outlay 0 0 0 N/A Reserves for Contingencies 0 0 0 N/A Reserves for Capital 427,500 39,100 466,600 9.1%_______________________________________ Total Appropriation 990,000 39,100 1,029,100 3.9% Revenues Interest/Misc 0 0 0 N/A Adv/Repay fm 001 Gen Fd 445,000 0 445,000 0.0% Trans fm 495 Airport Ops 500,000 0 500,000 0.0% Carryforward 45,000 39,100 84,100 86.9% Less 5% Required by Law 0 0 0 N/A_______________________________________ Total Revenues 990,000 39,100 1,029,100 3.9% - - In the past month, an additional $39,100 in insurance proceeds have been received and recognized in the FY18 Forecast. This resulted in an increase in FY 19 Carryforward (beginning cash balance) and the money was placed into Reserves. BUDGET RESOLUTION CHANGES TO THE FY 2019 TENTATIVE BUDGET MOTOR POOL CAPITAL FUND (523) ========================================================================= Tentative FY 19 % FY 19 Changes Amended Tentative Budget Appropriation Unit Budget Increase (Decrease)Budget Change Personal Services 94,100 0 94,100 0.0% Operating Expenses 48,600 0 48,600 0.0% Capital Outlay 6,542,800 (1,200,000)5,342,800 -18.3% Trans to 491 EMS MP Fd 5,800 0 5,800 0.0% Reserves for Gen Fd Motor Pool Cap 1,047,500 0 1,047,500 0.0% Reserves for Transp Motor Pool Cap 1,657,700 0 1,657,700 0.0% Reserves for Stormwtr Motor Pool Cap 188,800 0 188,800 0.0% Reserves for MSTU Gen Fd MP Cap 806,200 0 806,200 0.0% Reserves for Com Dev/Planning MP Cap 907,000 0 907,000 0.0% Reserves for Pollut Ctr Motor Pool Cap 67,800 0 67,800 0.0% Reserves for Int Serv Fd Motor Pool Cap 89,600 0 89,600 0.0%_______________________________ Total Appropriation 11,455,900 (1,200,000)10,255,900 -10.5% Revenues Misc Revenues 0 0 0 N/A Interest/Misc 50,000 0 50,000 0.0% Motor Pool Cap Recovery Billing 3,480,100 0 3,480,100 0.0% Trans fm 001 Gen Fd 110,000 0 110,000 0.0% Trans fm 101 Transp Op Fd 0 430,000 430,000 N/A Trans fm 111 MSTD Gen Fd 144,000 0 144,000 0.0% Trans fm 113 Comm Dev Fd 0 0 0 N/A Trans fm 114 Pollutn Ctr Fd 0 0 0 N/A Trans fm 131 Dev Serv Fd 0 0 0 N/A Trans fm 325 Stormwtr Cap Fd 1,630,000 (1,630,000)0 -100.0% Trans fm 409 W/S MP Fund 30,300 0 30,300 0.0% Trans fm 472 Solid Waste MP Fd 5,900 0 5,900 0.0% Trans fm 491 EMS MP Fund 9,000 0 9,000 0.0% Trans fm 505 IT Ops Fund 35,800 0 35,800 0.0% Trans fm 517 Health Ins Fund 0 0 0 N/A Carryforward 5,963,300 0 5,963,300 0.0% Less 5% Required by Law (2,500)0 (2,500)0.0%_______________________________ Total Revenues 11,455,900 (1,200,000)10,255,900 -10.5% - - All expanded vehicles and heavy equipment (with the exception of the Menzi Muck) have been deleted from the Stormwater program. Exhibit A Prior Year Rolled Back Proposed Millage Millage Millage % Change Frm. Fund Title Fund No.Rate Rate Rate Rolled Back General Fund 001 3.5645 3.4622 3.5645 2.95% Water Pollution Control 114 0.0293 0.0284 0.0293 3.17% 3.5938 3.4906 3.5938 2.96% Unincorporated Area General Fund 111 0.8069 0.7860 0.8069 2.66% Golden Gate Community Center 130 0.1862 0.1787 0.1862 4.20% Victoria Park Drainage 134 0.0346 0.0323 0.0323 0.00% Naples Park Drainage 139 0.0061 0.0057 0.0057 0.00% Vanderbilt Beach MSTU 143 0.5000 0.4781 0.5000 4.58% Ochopee Fire Control 146 4.5000 4.7442 4.0000 -15.69% Goodland/Horr's Island Fire MSTU 149 1.2760 1.2541 1.2760 1.75% Sabal Palm Road MSTU 151 0.0000 0.0000 0.0000 #DIV/0! Golden Gate Parkway Beautification 153 0.5000 0.4644 0.5000 7.67% Lely Golf Estates Beautification 152 2.0000 1.8885 2.0000 5.90% Hawksridge Stormwater Pumping MSTU 154 0.0409 0.0398 0.0398 0.00% Radio Road Beautification 158 0.1000 0.0959 0.1000 4.28% Forest Lakes Roadway & Drainage MSTU 159 1.3431 1.2652 1.3793 9.02% Immokalee Beautification MSTU 162 1.0000 0.9726 1.0000 2.82% Bayshore Avalon Beautification 163 2.3604 2.2832 2.3604 3.38% Haldeman Creek Dredging 164 0.7348 0.6859 1.0000 45.79% Rock Road 165 3.0000 2.7546 3.0000 8.91% Forest Lakes Debt Service 259 2.6569 2.5027 2.6207 4.71% Collier County Lighting 760 0.1640 0.1549 0.1549 0.00% Pelican Bay MSTBU 778 0.0857 0.0828 0.0857 3.50% Aggregate Millage Rate 4.1790 4.0636 4.1767 2.78% Collier County, Florida Property Tax Rates FY 2019 Proposed Exhibit A Prior Year Current Year Proposed Fund Adjusted Tax Rolled Back Tax % Change Fund Title No.Dollars Tax Dollars Dollars Frm. Rolled Back General Fund 001 293,414,000 305,739,719 314,773,621 2.95% Water Pollution Control 114 2,449,410 2,507,945 2,587,422 3.17% 295,863,410 308,247,664 317,361,043 2.96% Unincorporated Area General Fund 111 41,340,412 43,063,780 44,208,860 2.66% Golden Gate Community Center 130 370,793 374,597 390,318 4.20% Victoria Park Drainage 134 1,308 1,309 1,309 0.00% Naples Park Drainage 139 8,132 8,221 8,221 0.00% Vanderbilt Beach MSTU 143 1,280,091 1,286,288 1,345,208 4.58% Ochopee Fire Control 146 1,433,133 1,426,276 1,202,543 -15.69% Goodland/Horr's Island Fire MSTU 149 104,031 106,419 108,278 1.75% Sabal Palm Road MSTU 151 0 0 0 #DIV/0! Lely Golf Estates Beautification 152 255,604 255,982 271,095 5.90% Golden Gate Parkway Beautification 153 374,670 377,439 406,373 7.67% Hawksridge Stormwater Pumping MSTU 154 2,803 2,804 2,804 0.00% Radio Road Beautification 158 124,265 125,455 130,819 4.28% Forest Lakes Roadway & Drainage MSTU 159 255,764 255,816 278,886 9.02% Immokalee Beautification MSTU 162 365,543 373,462 383,983 2.82% Bayshore Avalon Beautification 163 1,050,170 1,075,509 1,111,874 3.38% Haldeman Creek Dredging 164 78,938 85,075 124,033 45.79% Rock Road 165 38,845 40,436 44,038 8.91% Forest Lakes Debt Service 259 505,949 506,031 529,890 4.71% Collier County Lighting 760 866,040 871,787 871,787 0.00% Pelican Bay MSTBU 778 564,416 565,177 584,971 3.50% Total Taxes Levied 344,884,317 359,049,527 369,366,333 Aggregate Taxes 344,378,368 358,543,496 368,836,443 Collier County, Florida Property Tax Dollars FY 2019 Proposed Collier County, Florida Fiscal Year 2018/2019 Summary of Budget by Fund FY 17/18 FY 18/19 % Fund Adopted Amended Tentative Budget Fund Title No.Budget Budget Change General Fund General Fund (001)413,952,700 435,902,700 5.30% Utility Impact Fee Deferral Program (002)9,000 20,200 124.44% Emergency Relief (003)490,300 287,200 -41.42% Economic Development (007)2,113,000 1,731,800 -18.04% Constitutional Officer Funds: Clerk of Circuit Court (011)9,771,400 10,458,400 7.03% Sheriff (040)174,720,200 187,203,400 7.14% Property Appraiser (060)7,462,500 7,797,100 4.48% Tax Collector (070)21,706,800 23,611,200 8.77% Supervisor of Elections (080)3,702,100 3,893,000 5.16% Supervisor of Elections Grants (081)0 0 N/A Subtotal Constitutional Officers 217,363,000 232,963,100 7.18% Special Revenue Funds Transportation (101)26,024,600 24,348,500 -6.44% Right of Way Permitting (102)0 0 N/A Stormwater Utility (103)0 2,648,900 N/A Affordable Housing (105)134,100 135,200 0.82% Impact Fee Administration (107)1,263,600 1,597,600 26.43% Pelican Bay MSTBU (109)4,933,400 5,544,300 12.38% Unincorporated Areas General Fund MSTU (111)57,371,600 58,974,700 2.79% Landscaping Projects (112)4,171,000 2,932,200 -29.70% Community Development (113)41,518,800 44,936,700 8.23% Water Pollution Control (114)3,484,500 3,484,400 0.00% Sheriff Grants (115)269,000 197,000 -26.77% Affordable Housing (116)105,800 286,600 170.89% Natural Resources (117)4,900 0 -100.00% Parks & Rec - Sea Turtle Monitoring (119)0 296,100 N/A Community Development Block Grants (121)0 0 N/A Services for Seniors (123)654,600 850,400 29.91% Metro Planning-MPO (128)18,200 21,900 20.33% Library E-Rate Program (129)115,400 17,700 -84.66% Golden Gate Community Center (130)1,349,900 1,566,900 16.08% Planning Services (131)20,507,400 11,482,600 -44.01% Pine Ridge Industrial Park Capital (132)78,800 0 -100.00% Victoria Park Drainage MSTU (134)31,300 11,500 -63.26% Naples Production Park Capital (138)715,500 9,800 -98.63% Naples Park Drainage MSTU&BU (139)102,000 114,900 12.65% Naples Production Park MSTU&BU (141)55,600 56,400 1.44% Pine Ridge Industrial Park MSTU&BU (142)1,865,000 1,889,300 1.30% Vanderbilt Beach Beautification MSTU (143)2,733,300 3,491,300 27.73% Isle of Capri Municipal Rescue & Fire Services (144)295,700 10,000 -96.62% Fiddler's Creek Fire Control District (145)188,900 5,000 -97.35% Ochopee Fire Control District MSTU (146)2,261,200 2,292,500 1.38% Collier County Fire Control MSTU (148)74,600 3,000 -95.98% Goodland/Horr's Isle Fire Control District (149)113,400 108,800 -4.06% Collier County Government Fiscal Year 2019 Amended Tentative Budget Collier County, Florida Fiscal Year 2018/2019 Summary of Budget by Fund FY 17/18 FY 18/19 % Fund Adopted Amended Tentative Budget Fund Title No.Budget Budget Change Collier County Government Fiscal Year 2019 Amended Tentative Budget Special Revenue Funds (Cont'd) Sabal Palm Road Extension MSTU&BU (151)102,900 100,900 -1.94% Lely Golf Estates Beautification MSTU (152)563,500 651,800 15.67% Golden Gate Beautification MSTU (153)735,800 838,600 13.97% Hawksridge Stormwater System MSTU (154)29,200 41,100 40.75% Radio Road Beautification MSTU (158)939,700 933,600 -0.65% Forest Lakes Roadway & Drainage MSTU (159)488,800 419,100 -14.26% Immokalee Beautification MSTU (162)739,700 1,051,300 42.13% Bayshore Beautification MSTU (163)5,386,900 6,551,300 21.62% Haldeman Creek Dredging MSTU (164)409,200 464,400 13.49% Rock Road MSTU (165)60,000 68,100 13.50% Radio Road East Beautification MSTU (166)7,500 10,100 34.67% Platt Road MSTU (167)5,900 300 -94.92% Teen Court (171)92,900 95,300 2.58% Conservation Collier (172)379,800 347,300 -8.56% Driver Education (173)223,000 236,400 6.01% Conservation Collier Maintenance (174)32,952,800 32,156,500 -2.42% Court IT Fee (178)1,789,100 1,563,800 -12.59% Conservation Collier Projects (179)58,800 60,500 2.89% Domestic Animal Services Donations (180)233,400 201,000 -13.88% Court Maintenance Fund (181)5,428,500 5,754,200 6.00% Ave Maria Innovation Zone (182)115,200 205,800 78.65% TDC Beach Park Facilities (183)7,441,300 7,682,000 3.23% Tourism Marketing (184)15,519,600 12,544,300 -19.17% TDC Engineering (185)835,000 1,022,700 22.48% Immokalee Redevelopment CRA (186)1,113,600 1,302,400 16.95% Bayshore/Gateway Triangle CRA (187)3,318,800 3,913,200 17.91% 800 MHz Fund (188)1,293,900 1,221,900 -5.56% Wireless E-911 (189)0 0 N/A Miscellaneous Florida Statutes (190)67,700 35,000 -48.30% Public Guardianship (192)193,000 193,000 0.00% Tourist Development (Non-County) Museums (193)2,653,900 1,859,900 -29.92% Tourist Development (194)1,852,800 1,961,900 5.89% Tourist Development Beaches Renourishment (195)39,180,600 45,191,100 15.34% Tourist Development Promotion Reserve (196)1,510,800 1,513,700 0.19% Museum (198)2,512,100 2,497,900 -0.57% E-911 Emergency Phone System (199)103,700 90,700 -12.54% Confiscated Property Trust.(602)101,800 102,600 0.79% Crime Prevention (603)825,400 704,700 -14.62% University Extension (604)120,600 90,300 -25.12% GAC Land Trust (605)887,600 907,900 2.29% Parks and Recreation Donations (607)33,000 51,900 57.27% Law Enforcement Trust (608)444,700 330,000 -25.79% Domestic Violence Trust (609)439,000 424,300 -3.35% Animal Control Trust (610)126,500 202,500 60.08% Combined E-911 (611)4,481,000 4,587,200 2.37% Library Trust Fund (612)271,000 274,300 1.22% Collier County, Florida Fiscal Year 2018/2019 Summary of Budget by Fund FY 17/18 FY 18/19 % Fund Adopted Amended Tentative Budget Fund Title No.Budget Budget Change Collier County Government Fiscal Year 2019 Amended Tentative Budget Special Revenue Funds (Cont'd) Drug Abuse Trust (616)4,200 4,300 2.38% Juvenile Cyber Safety (618)1,800 2,000 11.11% Freedom Memorial (620)20,600 15,000 -27.18% Law Library (640)82,900 88,000 6.15% Legal Aid Society (652)183,400 193,000 5.23% Office of Utility Regulation (669)1,727,300 1,570,100 -9.10% Court Administration (681)2,783,300 2,823,300 1.44% Specialized Grants (701)0 0 N/A Administrative Services Grants (703)0 34,500 N/A Housing Grants (705)0 0 N/A Housing Grants Match (706)0 76,700 N/A Human Services Grants (707)52,200 217,200 316.09% Human Services Grant Match (708)0 8,400 N/A 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)0 0 N/A County Manager Grants (713)0 0 N/A County Manager Grant Match (714)0 0 N/A Immokalee CRA Grants (715)0 0 N/A Bayshore CRA Grants (717)0 0 N/A Deepwater Horizon Oil Spill Settlement (757)2,020,300 2,036,800 0.82% Tourist Development Capital Projects (758)6,332,400 4,057,200 -35.93% Amateur Sports Complex (759)0 2,194,900 N/A Collier County Lighting (760)1,000,000 1,030,600 3.06% Pelican Bay Lighting (778)1,726,600 1,944,600 12.63% SHIP Grants (791)0 0 N/A Subtotal Special Revenue Funds 322,447,100 324,067,600 0.50% Debt Service Funds Gas Tax Revenue Refunding Bds, 2003/12 & 2005/14(212)13,953,000 14,211,600 1.85% Caribbean Gardens G.O. Bond (220)1,000 0 -100.00% Naples Pk Drainage Assessment Bds, 1997 (226)12,400 0 -100.00% Pine Ridge/ Naples Production Park, 1993 (232)994,000 995,800 0.18% Euclid and Lakeland (253)91,600 92,500 0.98% Forest Lakes Limited G.O. Bonds, 2007 (259)1,209,900 1,156,000 -4.45% Radio Rd E MSTU G.O. Bonds, 2012 (266)0 0 N/A Conservation Collier Limited G.O. Bds, 2005A (272)500 0 -100.00% Bayshore CRA Letter of Credit, Series 2017 (287)981,000 981,200 0.02% Special Obligation Bonds, 2010/17, 2010B, 2011 & 2013(298)20,951,100 20,169,900 -3.73% Commercial Paper Program (299)0 703,500 N/A Subtotal Debt Service Funds 38,194,500 38,310,500 0.30% Collier County, Florida Fiscal Year 2018/2019 Summary of Budget by Fund FY 17/18 FY 18/19 % Fund Adopted Amended Tentative Budget Fund Title No.Budget Budget Change Collier County Government Fiscal Year 2019 Amended Tentative Budget Capital Projects Funds County-Wide Capital Projects (301)18,728,800 11,988,500 -35.99% Boater Improvement Capital Improvement (303)524,600 859,800 63.90% ATV Settlement (305)31,200 3,039,000 9640.38% Parks Capital Improvements (306)2,294,400 5,372,000 134.14% Growth Management Capital (309)0 9,016,000 N/A Growth Management Transportation Capital (310)3,053,000 11,148,000 265.15% Road Construction Operations (312)0 0 N/A Road Construction (313)36,020,000 27,561,400 -23.48% Museum Capital (314)650,500 385,300 -40.77% Clam Bay Restoration (320)180,500 225,800 25.10% Pelican Bay Irrigation/Landscaping (322)731,500 3,205,100 338.15% Stormwater Operations (324)42,000 10,200 -75.71% Stormwater Capital Improvement Projects (325)6,075,300 5,733,000 -5.63% Road Impact District 1, N Naples (331)10,157,700 12,910,000 27.10% Road Impact District 2, E Naples & GG City (333)5,616,500 5,927,800 5.54% Road Impact District 3, City of Naples (334)743,600 342,400 -53.95% Road Impact District 4, S County & Marco (336)8,156,700 17,249,700 111.48% Road Impact District 6, Golden Gate Estates (338)9,791,400 5,812,100 -40.64% Road Impact District 5, Immokalee Area (339)2,069,500 2,950,500 42.57% Road Assessment Receivable (341)482,000 485,300 0.68% Regional Park Impact Fee - Incorporated Areas (345)995,900 1,550,000 55.64% Community & Regional Park Impact Fee (346)11,534,900 12,111,500 5.00% Emergency Medical Services (EMS) Impact Fee (350)2,727,200 919,800 -66.27% Library Impact Fee (355)1,877,400 1,499,700 -20.12% Amateur Sport Complex (370)0 0 N/A Ochopee Fire Impact Fees (372)12,200 24,200 98.36% Isle of Capri Fire Impact Fees (373)66,200 0 -100.00% Correctional Facilities Impact Fees (381)3,293,900 3,254,600 -1.19% Law Enforcement Impact Fees (385)2,477,000 2,257,100 -8.88% General Government Building Impact Fee (390)9,400,000 8,302,300 -11.68% Subtotal Capital Funds 137,733,900 154,141,100 11.91% Enterprise Funds County Water/Sewer District Operating (408)163,906,100 173,878,300 6.08% County Water/Sewer Motor Pool Capial (409)4,107,600 4,703,500 14.51% County Water/Sewer Debt Service (410)32,054,100 35,645,600 11.20% County Water Impact Fees (411)20,275,200 17,239,200 -14.97% County Water Capital Projects (412)24,772,300 16,940,400 -31.62% County Sewer Impact Fees (413)18,360,200 9,994,900 -45.56% County Sewer Capital Projects (414)64,949,300 38,131,000 -41.29% County Water/Sewer Grants (416)0 0 N/A Public Utilities Special Assessments (418)0 342,500 N/A Collier County, Florida Fiscal Year 2018/2019 Summary of Budget by Fund FY 17/18 FY 18/19 % Fund Adopted Amended Tentative Budget Fund Title No.Budget Budget Change Collier County Government Fiscal Year 2019 Amended Tentative Budget Enterprise Funds (Cont'd) Collier Area Transit (CAT) Grants (424)0 0 N/A Collier Area Transit (CAT) Grant Match (425)407,800 404,700 -0.76% Collier Area Transit (CAT) Enhancements (426)3,175,400 2,621,400 -17.45% Transportation Disadvantaged (427)3,103,000 3,013,300 -2.89% Transportation Disadvantaged Grant (428)0 0 N/A Transportation Disadvantaged Grant Match (429)76,100 76,100 0.00% Solid Waste Disposal (470)31,742,400 28,535,400 -10.10% Landfill Closure & Debris Mission Reserve (471)3,924,700 3,757,800 -4.25% Solid Waste Motor Pool Capital (472)658,400 871,300 32.34% Mandatory Collection (473)31,909,900 31,013,400 -2.81% Solid Waste Capital Projects (474)10,165,800 12,563,500 23.59% Emergency Medical Services (EMS)(490)32,495,600 34,467,100 6.07% EMS Motor Pool and Capital (491)4,475,200 3,849,300 -13.99% EMS Grant (493)0 0 N/A EMS Grant Match (494)0 0 N/A Airport Authority Operations (495)4,424,900 4,553,600 2.91% Airport Authority Capital (496)2,066,300 1,029,100 -50.20% Immokalee Airport Capital (497)61,900 0 -100.00% Airport Authority Grant (498)0 0 N/A Airport Authority Grant Match (499)0 0 N/A Subtotal Enterprise Funds 457,112,200 423,631,400 -7.32% Internal Service Funds Information Technology (505)8,487,600 9,453,700 11.38% Information Technology Capital (506)2,521,900 1,436,200 -43.05% Property & Casualty (516)14,069,400 25,105,500 78.44% Group Health (517)67,229,200 78,627,200 16.95% Workers Compensation (518)3,575,500 3,940,000 10.19% Fleet Management (521)9,826,800 10,005,300 1.82% Motor Pool Capital Recovery (523)8,717,300 10,255,900 17.65% Subtotal Internal Service Funds 114,427,700 138,823,800 21.32% Permanent & Agency Funds Deposit Fund (670)0 0 N/A Caracara Prairie Preserve (674)1,719,000 1,752,500 1.95% Subtotal Permanent Funds 1,719,000 1,752,500 1.95% Total Budget by Fund 1,705,562,400 1,751,631,900 2.70% Less: Internal Services 86,165,300 107,282,600 24.51% Interfund Transfers 450,425,900 452,521,000 0.47% Net County Budget 1,168,971,200 1,191,828,300 1.96%