Loading...
2013/14 FY Final PHINDEPENDENT NEWSPAPERS OKEECHOBEE NEWS 107 S.W. 17th Street, Suite D, Okeechobee, F1 34974 STATE OF FLORIDA COUNTY OF OKEECHOBEE Before the undersigned authority personally appeared Tom Byrd, who on oath says he is Publisher of the Okeechobee News, a three times a week Newspaper published at Okeechobee, in Okeechobee County, Florida, that the attached copy of advertisement being a in the matter of in the 19th Judicial District of the Cirdilit Court of Okeechobee County, Florida, was published in said newspaper in the issues of Affiant further says that the said Okeechobee News is a newspaper published at Okeechobee, in said Okeechobee County, Florida, and that said newspaper has heretofore been published continuously in said Okeechobee County, Florida each week and has been entered as second class mail matter at the post office in Okeechobee, in said Okeechobee County, .Florida, for a period of one year next preceding the first publication of the attached copy of advertisement, and affiant fur- ther says that she has neither paid nor promised any person, firm or corporation any discount, rebate, com- mission or refund for the purpose of securing this advertisement for publication in the said newspaper. Torn Byrd Sworn to,and subscribed before me this Notary Public, State of Florida at Large ANG!E BRIDGES MY COMMISSION # EE 177650 EXPIRES: I11Jril 20, 2016 Bonded Thru Notary Public Unaenwiters (863) 763-3134 FINAL BUDGET HEARING AND REGULAR CITY COUNCIL MEETING NOTICE NOTICE IS HEREBY GIVEN that the City Council will meet in Regular Session on Tuesday, September 17, 2013, 6:00 p.m., or as soon there- after as possible, at City Hall, 55 SE 3rd Ave, Rm 200, Okeechobee, Florida. The final Public Hearing to consider the proposed 2013/2014 Fiscal Year Budget will be conducted at this meeting. The public is invited and encour- aged to attend. Contact City Administration at 863 - 763 -3372, or website www.citvofokeechobee.com, to obtain a copy of the agenda. ANY PERSON DECIDING TO APPEAL any decision made by the City Coun- cil with respect to any matter considered at this meeting will need to ensure a verbatim record of the proceeding is made and the record includes the testimony and evidence upon which the appeal will be based. In accordance with the Americans with Disabilities Act (ADA), any person with a disability as defined by the ADA, that needs special accommodation to participate in this proceeding, contact the City Clerk's Office no later than two business days prior to proceeding, 863 - 763 -3372. BE ADVISED that should you intend to show any document, picture, video or items to the Council in support or opposition to any item on the agenda; a copy of the document, picture, video, or item must be provided to the City Clerk for the City's records. by: James E. Kirk, Mayor Lane Gamiotea, CMC, City Clerk 452403 ON 9/13/2013 JINDEPENDENT NEWSPAPERS OKEECHOBEE NEWS 107 S.W. l 7th Street, Suite 1), Okeechobee, P 1 34974 STATE OF FLORIDA COUNTY OF OKEECHOBEE Before the undersigned authority personally appeared Tom Byrd, who on oath says he is Publisher of the Okeechobee News, a three times a week Newspaper published at Okeechobee, in Okeechobee County, Florida, that the attached copy of advertisement being a �rttf t�t, _ `.. - -, ._ in the matter of in the 19th Judicial District of the Circuit Court of Okeechobee County, Florida, was published in said newspaper in the issues of Affiant further says that the said Okeechobee News is a newspaper published at Okeechobee, in said Okeechobee County, Florida, and that said newspaper has heretofore been published continuously in said Okeechobee County, Florida each week and has been entered as second class mail matter at the post office in Okeechobee, in said Okeechobee County, Florida, for a period of one year next preceding the first publication of the attached copy of advertisement, and affiant fur- ther says that she has neither paid nor promised any person, firm or corporation any discount, rebate, com- mission or refund for the purpose of securing this advertisement for publication in the said newspaper. Tom Byrd Sworn to and subscribed before me this day of >� Notary Public, State of Florida at Large ANGIE BRIDGES MY COMMISSION tY EE 17705S EXPIRES: April 20, 2016 Bonded TUB! Notary Public Underwriter AD i 4 CCP'j CCt .t.( ()t.li1 1t ry NOTICE C O NI- E. v a) N -c .4- CO O CO c— .Q J O — u_ 3 ac ifs Go o w Tti .c 0 ii 0 1,_ o Z Y 3- Q w M a) 0 'O -O N ¢ as O r M d w o 0. ° E a. 2 ram a o °o 0 > U u). c° E -w >; O c 0 CC ¢ a) �; _=a ~ -o aim E .c) a) L o1 0 Y O 2 ° n .` ro 0 - U v 1 O :a ' (863) 763 -3134 .•11•1111M101 POO N c) City Attorney to read proposed Ordinance No. 1104 by title only. .(i::' 151 1 F 13011C -1 it t) - IR ir�7 i a V3 < . E” o 8 ' 'D o � o 0 0 8 o o c�'i N v 3 0_ m O " to o m m 8 -.A. 3= o O O N N 'a3(1NI1N00 9NI21V3H 0118ld 13OUf18 1YNld 'XI CI_ 0 g a O 2 n' z c O o V• O p O 0 z z aTe� n 0 • CT n CD . o> G c co co R A 3 0 y z 2 n D I S Z I (vmc2Cm� 3 p °o y C7 °; c O m oOZZX -0 2-T` 3 c°i(o0�(j °o -n+ o= 3 m `' 0 0 3 D 9 ) 'PP 8- m n m a_ ? On�Amo y -i _ a 8 <rn GCnp • v 0 gZS,a CD O a n • a 0 y O o 3 *L N n W --(�Qa D a O Z`OOZ5' * g o Lll rn 0, o E 43 n y no a • 3 - - ir- �m. 0 rnn�Znr B m 3 n-+ y "z0- *D m mm 3- = a mm ° < K O e 0 `U _ m EL, O m O 0 m < y= m y m "1 .- c z cni?..A 0a°' > > O 2 Z r- Ei 8 - 23 A O XI 3 ° ,7.4C)m °v" • co 8 h� Z e O n < 3 - o C � .vv. 0 a n O O 0 ill O O O Z Oy 0 CD m v 0 z O 0 2:!'�° -m no Q c - „,+�,- > x o n 0I:G m z 3 • 3 On --i"IO • N Z 0 V v n c) 3. A A r- o v- ZE S;v-oS; o N - ,0mm0 =mzXI m 0 m o 0 T � O n, CD 3 • Q co o O (i N co o A Oo O 3 N a N O 3 co „, a a (D. W 0 cD T.1 CD o p. ( 0 0. n a �. K o• 2 O Z 0- • 3 co N K -1 T -0 o m o. 3 • C c C 8 co m o a O N T O U) c N 0 O d 5. a) a) � -0 0 a 3 8 cD n) (o 3 N co N ;co CJ CD 8 aa) 5. CD 0 v C) m a COUNCIL ACTION - DISCUSSION - VOTE SEPTEMBER 17, 2013 - REGULAR MEETING & FINAL BUDGET PUBLIC HEARING- PAGE 10 OF 12 Cr 0 3 3 N a a Fp- c co o N a� 0 p a 0 o o w n O aci Z 0 2. o v a -° -o o co O a m N z 0 o 0, o- `G m o ".c v _ a m = O o m a a 0 '< o o 0 n O n S co 0 0 z 2 0 cn X -n Z n r C c> -m-1 C CO m D 73 G7 n O -Z-1 c M P AGENDA 1 OF TRANSPORTATION HIGHWAY BEAUTIFICATION GRANT FUND REVENUES OF$100,000.00, TRANSFER -IN OF $17,500.00, AND EXPENDITURES OF$117,500.00, LEAVING A FUND BALANCE OF $0.00; CAPITAL IMPROVEMENT PROJECTS-IMPACT FEES FUND REVENUES OF $47,064.00, AND EXPENDITURES OF $16,950.00, TRANSFER -OUT OF $500.00, LEAVING A FUND BALANCE OF $29,614.00; CAPITAL IMPROVEMENT PROJECTS FUND REVENUES OF $6,747,114.00, AND EXPENDITURES OF $517,350.00, TRANSFER -OUT OF $723,820.00, WITH ASSIGNED FUNDS OF 8300,000.00, LEAVING A FUND BALANCE OF $5,805,944.00; LAW ENFORCEMENT SPECIAL FUND REVENUES OF 84,563.00, AND EXPENDITURES OF 83,108.00, LEAVING A FUND BALANCE OF 11,455.00; PROVIDING AN EFFECTIVE DATE." Council Member O'Connor moved to adopt proposed Ordinance No. 1105; seconded by Council Member Williams. COUNCIL ACTION - DISCUSSION -VOTE rn SEPTEMBER 17, 2013 - REGULAR MEETING & FINAL BUDGET PUBLIC HEARING- PAGE 11 OF 12 IaID 'ow 'ealo!we0 auei -1 --1 ' X aag m m F �a,v_ co -I 2. s I Dowling R. Watford, Jr., Mayor Pro - Tempore •Joh - JNI1.3311 N?lnof aV wAeW • ON121V3H Dll9fld 13Jan 1VNld 3S010 Uollow UO alPA (o N z O 0 COT O 3 0 m (0 CD n a � c O O CD Q 0 7' CO 0 CD (0 0 d 0) (0 IX. FINAL BUDGET PUBLIC HEARING CONTINUED. 0 --i B m m --1 CD CD m (0 0 m 0 c 0. n o CD 0 0- C C d =. O O CD 7' m co. (0 N 0 0 0 0 (D Ca.) NCO CD N � Q LS w 5 d � Cr o -0 7 o - m 3 m d 0 m CD 3 CD CD CO 0" 0) -4 01 MAYOR PRO -TEM WATFORD CLOSED THE FINAL BUDGET PUBLIC HEARING AT 7:51 P.M. M O 0 O z z z 0 0 D pa • m x(-n rnD m 0 O 0) _ -v (D g 0 I 0 CO -"1 Q d co C) cu 0 CO CD 0 Q 0 (D 0) C1) 3 Q (D . a 30 C N N" 0. 4 (O 0 0 00 'O 0 (0 3 n 3< < 0 CD = O o ` �° a Q o co m In * �" 0 _ ° r" o 5- - d lai f! 0 13.1 0) _ (D 0' N 0 = (p 0 a -- 5. Q Q p' v (0 a o m 0 CD (n' a _ 0 0 0 °). T, m •0 ....-.73(13-0-. (D( 0 a (n (o >( (D (D CD `" CT 5 C) •-• C.O. 3 3- o (n 3 o O 0 cr, C (D (D 7 0 CT -• = C CD N 3 c (=9 CCD'- 0 O D lD Q. p p. -o N O o 0 0 0 N -0 N 0 " <' 0 0 (D C 0 O g) O O (D O 0 CO O (0 fn C/) _ (D 0 O K 0) Q CD x (➢ N O O O N 0 y d 3 O n -p ? N, 0 CD CD O -5- 0 -u 0 7 o' No p 0 O r. y p 0 C -2 (D > >? p N (b 0 C W 0 0 7 o N CO o CD O p 0 y 0 CD m Q CD 7-' 0 0 0 - O (II m O `< p co O v- m Q m --pp z . 7 K Q a m y co (aD N vQj' 'p (p_, ry 0 0 0� 0- 0 O' UJ 0 (� W O Q L: O - O Q' N p C co O O ",:c:_ X (D O cD `� �. p= n a to co z C/7 O_ 0 -0 CT (D d O ,� co to > Cn 0- O CJ1 C O lD ? [U 0 C) O Q p O CD N p, 0 p 0 3 m -p CD o 0 7' o i. m o 7' 7 7 a c Z - _ .c-. CO — c- a (n 5“.0 CD 0 0 CD v ti - �' m -' d = m m n o �' n o (n m (p 3 v 0 o- tO (D p S 0 E,- ° p • 5. = u, N 4-F, n 0,9 O O Q *.d d. mCD mac) m m C) =� cn— C an 0 CD D O S 0 D _- j � 0. 0 y x p . — p D y CS 0. O N 6 —• _ °) 3 0 'G 0 -03 (O (O 0 0 co o C.71 Q CD N Q Fi Q. CD ? h C CO N • _ CD _ _ - o co to j "O C 0 CS co 0 C6 f) to CD p c 0 0 a Q m m a a CU c-) „V (o c a O 0 o C CD 7 0' o' '�' N_+ (CDD m (° N (0 d 0 0 0 3 Q w 7. 5. 0 -0 o - O B m n o n o m 0 8 0 0 0 T:. (D N 0 co S 0 0 N (D N (7) d c * '_C -. co - CD m 0 COUNCIL ACTION - DISCUSSION • VOTE SEPTEMBER 17, 2013 - REGULAR MEETING & FINAL BUDGET PUBLIC HEARING- PAGE 12 OF 12 September 17, 2013 Meeting ( , r j _ ( 3 m t Budget Public Hearing Item D - adoption of proposed Ordinance No. 1105 (,i IC- Motion to Amend Will Be Required: Proposed Ordinance No. 1105 will need to be amended in order to correct the amount being Transferred -Out from Capital Improvement Projects Fund to General Fund & Grant Funds from $723,820.00 to $724,070.00; and Fund Balance from $5,805,944.00 to $5,805,694.00. The corrections are shown on the attached copy, highlighted in yellow is the correct figure, stricken through is the figure to be deleted. On your budget pages, what will be corrected: Page 5, General Fund Recapitulation - Revenue and Expenses OPERATING TRANSFER -IN: Capital Project Improvements (Transfer -In) $ 681,320 $ 681,570 Total $1,079,820 $1,080,070 TOTAL REVENUE & OTHER FUNDING SOURCES $5,620,757 $5,621,007 Page 30, Capital Improvement Projects Fund Transfer -Out to General Fund TOTAL TRANSFER OUT F/Y ENDING FUND BALANCE Thank you. L. Gamiotea, City Clerk jc4rte oov. -�-k ■ lJ' I r CL C $ 681,320 $ 681,570 $ 723,820 $ 724,070 W50-57944 $5,505,694 ORDINANCE NO. 1105 AN ORDINANCE ADOPTING AN ANNUAL BUDGET FOR THE CITY OF OKEECHOBEE, FLORIDA, FOR THE FISCAL YEAR BEGINNING OCTOBER 1, 2013, AND ENDING SEPTEMBER 30, 2014; WHICH BUDGET SETS FORTH GENERAL FUND REVENUES OF $8,423,588.00, TRANSFER -IN OF $1,080,070.00, AND EXPENDITURES OF $5,621,007.00, LEAVING A FUND BALANCE OF $3,882,651.00; PUBLIC FACILITIES IMPROVEMENT FUND REVENUES OF $1,516,402.00, AND EXPENDITURES OF $675,500.00, TRANSFER -OUT OF $398,000.00, LEAVING A FUND BALANCE OF $442,902.00; COMMUNITY DEVELOPMENT BLOCK GRANT - HOUSING REHABILITATION FUND REVENUES OF $64,032.00, AND EXPENDITURES OF $64,000.00, LEAVING A FUND BALANCE OF $32.00; COMMUNITY DEVELOPMENT BLOCK GRANT - ECONOMIC DEVELOPMENT FUND REVENUES OF $232,909.00, AND EXPENDITURES OF $232,909.00, LEAVING A FUND BALANCE OF $0.00; STATE APPROPRIATIONS GRANT FUND REVENUES OF $250,000.00, TRANSFER -IN OF $25,000.00, AND EXPENDITURES OF $275,000.00, LEAVING A FUND BALANCE OF $0.00; FLORIDA DEPARTMENT OF TRANSPORTATION HIGHWAY BEAUTIFICATION GRANT FUND REVENUES OF $100,000.00, TRANSFER -IN OF $17,500.00, AND EXPENDITURES OF $117,500.00, LEAVING A FUND BALANCE OF $0.00; CAPITAL IMPROVEMENT PROJECTS - IMPACT FEES FUND REVENUES OF $47,064.00, AND EXPENDITURES OF $16,950.00, TRANSFER -OUT OF $500.00, LEAVING A FUND BALANCE OF $29,614.00; CAPITAL IMPROVEMENT PROJECTS FUND REVENUES OF $6,747,114.00, AND EXPENDITURES OF $517,350.00, TRANSFER -OUT OF $724,070.00 $723,B20700, WITH ASSIGNED FUNDS OF $300,000.00, LEAVING A FUND BALANCE OF $5,805,694.00 $5;8057944700; LAW ENFORCEMENT SPECIAL FUND REVENUES OF $4,563.00, AND EXPENDITURES OF $3,108.00, LEAVING A FUND BALANCE OF $1,455.00; PROVIDING AN EFFECTIVE DATE. NOW, THEREFORE, be it ordained before the City Council for the City of Okeechobee, Florida; presented at a duly advertised public meeting; and passed by majority vote of the City Council; and properly executed by the Mayor or designee, as Chief Presiding Officer for the City: Section 1: The City Council of the City of Okeechobee, Florida, after having held a public hearing on the annual budget, including General Fund, Public Facilities Improvement Fund, Community Development Block Grant - Housing Rehabilitation Fund, Community Development Block Grant - Economic Development Fund, State Appropriations Grant Fund, Florida Department of Transportation Highway Beautification Grant Fund, Capital Improvement Projects- Impact Fees Fund, Capital Improvement Projects Fund, and Law Enforcement Special Fund, hereby adopts as its annual budget the expenditures, as fully set forth below, for the City of Okeechobee for the Fiscal Year beginning October 1, 2013 and ending September 30, 2014. GENERAL FUND Revenues Fund Balance $3,882,651.00 Ad Valorem Taxes - 7.7432 $1,740,218.00 Other Fees $ 602,250.00 Intergovernmental Revenue $1,275,683.00 Charges for Current Services $ 854,581.00 Fines, Forfeitures and Penalties $ 21,000.00 Uses of Money and Property $ 1,000.00 Other Revenues $ 46,205.00 Total Revenues $8,423,588.00 Transfer -In from Public Facilities Improvement Fund $ 398,000.00 Transfer -In from Capital Improvement Projects- Impact Fees Fund $ 500.00 Transfer -In from Capital Improvement Projects Fund $ 681,570.00 TOTAL REVENUES AND TRANSFERS $9,503,658.00 Ordinance No. 1105 Page 1 of 4 GENERAL FUND CONTINUED Expenditures Legislative Executive City Clerk Financial Services Legal Counsel General Services Law Enforcement Fire Protection Road and Street Facilities TOTAL EXPENDITURES GENERAL FUND BALANCE PUBLIC FACILITIES IMPROVEMENT FUND $ 137,627.00 $ 179,816.00 $ 200,355.00 $ 251,123.00 $ 72,253.00 $ 327,111.00 $2,007,082.00 $1,370,181.00 $1,075,459.00 $5,621,007.00 $3,882,651.00 Revenues Fund Balance $ 874,851.00 Revenues $ 641,551.00 TOTAL REVENUES $1,516,402.00 Expenditures Expenditures $ 675,500.00 Transfer -Out to General Fund $ 398,000.00 TOTAL EXPENDITURES AND TRANSFERS $1,073,500.00 PUBLIC FACILITIES IMPROVEMENT FUND BALANCE $ 442,902.00 COMMUNITY DEVELOPMENT BLOCK GRANT - HOUSING REHABILITATION FUND Revenues Fund Balance $ 32.00 Revenues $ 64,000.00 TOTAL REVENUES $ 64,032.00 Expenditures TOTAL EXPENDITURES CDBG -HR FUND BALANCE $ 64,000.00 $ 32.00 COMMUNITY DEVELOPMENT BLOCK GRANT - ECONOMIC DEVELOPMENT FUND Revenues Fund Balance $ 0.00 Revenues $ 232,909.00 TOTAL REVENUES $ 232,909.00 Expenditures TOTAL EXPENDITURES CDBG -ED FUND BALANCE STATE APPROPRIATIONS GRANT FUND $ 232,909.00 $ 0.00 Revenues Fund Balance $ 0.00 Revenues $ 250,000.00 Transfer -In from Capital Improvement Projects Fund $ 25,000.00 TOTAL REVENUES AND TRANSFERS $ 275,000.00 Ordinance No. 1105 Page 2 of 4 STATE APPROPRIATIONS GRANT FUND CONTINUED Expenditures TOTAL EXPENDITURES STATE APPROPRIATIONS GRANT FUND BALANCE FDOT HIGHWAY BEAUTIFICATION GRANT FUND $ 275,000.00 $ 0.00 Revenues Fund Balance $ 0.00 Revenues $ 100,000.00 Transfer -In from Capital Improvement Projects Fund $ 17,500.00 TOTAL REVENUES AND TRANSFERS $ 117,500.00 Expenditures TOTAL EXPENDITURES $ 117,500.00 FDOT HIGHWAY BEAUTIFICATION GRANT FUND BALANCE $ 0.00 CAPITAL IMPROVEMENT PROJECTS - IMPACT FEES FUND Revenues Fund Balance $ 46,564.00 Revenues $ 500.00 TOTAL REVENUES $ 47,064.00 Expenditures Total Expenditures $ 16,950.00 Transfer -Out to General Fund $ 500.00 TOTAL EXPENDITURES AND TRANSFERS $ 17,450.00 CAPITAL IMPROVEMENT PROJECTS - IMPACT FEES FUND BALANCE $ 29,614.00 CAPITAL IMPROVEMENT PROJECTS FUND Revenues Fund Balance $6,484,214.00 Revenues $ 262 900.00 TOTAL REVENUES $6,747,114.00 Expenditures Total Expenditures Transfer -Out to General and Grant Funds TOTAL EXPENDITURES AND TRANSFERS $ 517,350.00 $724.070.00 $ 723,820.00 $1,241,420.00 $1,241,170.00 Assigned Funds TOTAL ASSIGNED FUND BALANCE $ 300,000.00 CAPITAL IMPROVEMENT PROJECTS FUND BALANCE $5,805,694.00 $578057944700 LAW ENFORCEMENT SPECIAL FUND Revenues Fund Balance $ 4,063.00 Revenues $ 500.00 TOTAL REVENUES $ 4,563.00 Expenditures TOTAL EXPENDITURES $ 3,108.00 LAW ENFORCEMENT SPECIAL FUND BALANCE $ 1,455.00 Ordinance No. 1105 Page 3 of 4 Section 2: That this ordinance was proposed, considered and adopted under the provisions of Chapter 166 and 200.065 Florida Statues. Section 3: This ordinance shall be effective October 1, 2013. INTRODUCED for first reading and public hearing on the 3'd day of September, 2013. ATTEST: Lane Gamiotea, CMC, City Clerk James E. Kirk, Mayor ADOPTED after final reading and second public hearing on the 170 day of September, 2013. ATTEST: Lane Gamiotea, CMC, City Clerk REVIEWED FOR LEGAL SUFFICIENCY: John R. Cook, City Attorney Ordinance No. 1105 Page 4 of 4 James E. Kirk, Mayor City of Okeechobee Proposed 2013 -2014 Budget This page intentionally left blank. Final Public Hearing Page 2 City of Okeechobee Proposed 2013 -2014 Budget Final Public Hearing Page 3 City of Okeechobee Proposed 2013 -2014 Budget This page intentionally left blank. Final Public Hearing Page 4 City of Okeechobee Proposed 2013 -2014 Budget Final Public Hearing Page 5 City of Okeechobee Proposed 2013 -2014 Budget GENERAL FUND RECAPITULATION - REVENUE AND EXPENSES 2011/2012 Actuals 2012/2013 Budget 2012/2013 Estimates 2013/2014 PROPOSED IF /Y BEGINNING FUND BALANCE REVENUES TAXES: PY rate 7.7432 $ 3,577,557 $ 3,360,1 18 $ 3,884,651 $ 3,882,651 311 -1000 97% AD VALOREM (0) 7.7432 $ 1,753,848 $ 1,697,570 $ 1,800,176 $ 1,740,218 TOTAL $ 1,753,848 $ 1,697,570 $ 1,800,176 $ 1,740,218 OTHER FEES: 312 -5200 314 -1000 314 -8000 316 -0000 319 -0000 Fire Insurance Premium $ 49,588 $ 49.500 $ 49,500 $ 49,500 Casualty insurance Prem Tax (Police) $ 74,973 $ 78,275 $ 78,200 $ 73,570 Utility Tax - Electric $ 411,944 $ 393,000 $ 409,460 $ 394,500 Utility Tax /Propane $ 32,390 $ 25,200 $ 31,541 $ 27,120 Prof & Business Tax Receipt $ 68,955 $ 54.200 $ 57,500 $ 56,560 Public Service Fee $ 4,187 $ 2.000 $ 2,900 $ 1,000 TOTAL $ 642,037 $ 602,175 $ 629,101 $ 602,250 INTERGOVERNMENTAL REVENUES: 335 -1210 335 -1400 335 -1500 335 -1800 312 -6000 315.0000 335 -2300 338 -2000 SRS Cigarette Tax $ 194,548 $ 187,400 $ 194,046 $ 187,943 Mobile I lome Licenses $ 24,694 $ 23,000 $ 23,800 $ 23,000 Alcoholic Beverage Licenses $ 6,466 $ 4,950 $ 4,007 $ 4,950 1/2 Cent Sales "I'ax $ 264,154 $ 256,635 $ 272,611 $ 269,050 1 Cent Sales Surtax $ 527,212 $ 499,701 $ 539,564 $ 513,440 Communications Service Tax $ 275,000 $ 268,000 $ 305,340 $ 271,000 Firefighters Supplement $ 1,200 $ 1,920 $ 1,200 $ 1,200 County Business Licenses $ 9,270 $ 4,700 $ 7,200 $ 5,100 TOTAL $ 1,302,544 $ 1,246,306 $ 1,347,768 $ 1,275,683 CHARGES FOR CURRENT SERVICES 322 -0000 322 -1000 323 -1000 323 -7000 329 -0000 341 -2000 341 -3000 341 -4000 343 -4010 Building & Inspections Fees $ 108,446 $ 65,000 $ 45,300 $ 50,000 Exception & Zoning Fees $ 5,068 $ 500 $ 3,581 $ 500 Franchise - Electric $ 383,620 $ 375,000 $ 345,489 $ 345,400 Franchise -Solid Waste $ 107,818 $ 98,970 $ 97,456 $ 95,456 Plan Review Fees $ 4,656 $ 4,000 $ 3,820 $ 3,800 Alley /Street Closing Fees $ - $ 500 $ - $ 500 Map Sales 8 - $ 100 $ - $ 100 Photocopies $ - $ 25 $ - $ 25 Solid Waste Collection Fees -Resd. $ 371,846 $ 359,813 $ 360,112 $ 358,800 TOTAL $ 981,454 $ 903,908 $ 855,758 $ 854,581 Final Public Hearing Page 6 City of Okeechobee Proposed 2013 -2014 Budget GENERAL FUND RECAPITULATION - REVENUE AND EXPENSES FINES, FO 351 -1000 351 -2000 351 -3000 351 -4000 351 -5000 354 -1000 2011/2012 2012/2013 2012/2013 Actuals Budget Estimates 2013/2014 PROPOSED Court Fines $ 13,123 $ 12,921 $ 14,000 $ 12,500 Radio Comm. Fee $ 5,094 $ 4,949 $ 5,600 $ 5,600 Law Enforcement Education $ 1,609 $ 1,627 $ 1,800 $ 1,600 Investigation Cost Reimbursement $ 1,222 $ 875 $ 750 $ 875 Unclaimed Evidence $ - $ - $ - $ - Ordinance Violation Fines $ 474 $ 425 $ 250 $ 425 TOTAL $ 21,522 $ 20,797 $ 22,400 $ 21,000 USES OF MONEY & PROPERTY: 361 -1000 361.3000 364 -1000 Interest Earnings $ 4.054 $ 1,100 $ 1,000 $ 1,000 Investment Earnings $ - $ - $ - $ - Surplus City Property $ - $ - $ - $ - TOTAI, $ 4,054 $ 1,100 $ 1,000 $ 1,000 OTHER REVENUES: 334 -2000 334 -3000 343 -9000 343 -9100 343 -9200 369 -1000 369 -4000 369 -5000 383 -0000 Public Safety Grant $ 6,790 $ 3,200 $ 2,202 $ - Special Purpose Grant $ 3,500 $ 3,500 $ - $ - DOT Hwy Maint.Landscapc /Mowing $ 10,542 $ 10,500 $ 10,242 $ 10,500 DOT Master Traffic Signals Maint. $ 8,553 $ 8,103 $ 8,509 $ 8,905 DOT Maint. Lights & Lights Contract $ 22,545 $ 20,060 $ 20,890 $ 23,300 Miscellaneous $ 2,000 $ 4,000 $ 2,000 $ 2,000 Code Enforcement Fine $ 1,900 $ 1,900 $ 500 $ 500 Police Accident Reports $ 1,477 $ 871 $ 1,000 $ 1,000 Capital Lease Proceeds $ - $ - $ - $ - TOTAL $ 57,307 $ 52,134 $ 45,343 $ 46,205 OPERATING "TRANSFER -IN: 381 -1000 Capital Project Impact Fees (Transfer -In) $ 1..280 $ 500 $ 500 $ 500 Capital Project Improvements (Transfer -In) $ 42,674 $ 568,580 $ 122,491 $ 681,570 CDBG Fund (Transfer -In) $ - $ $ - Public Facilities Improvement (Transfer -In) $ 317,700 $ 398,000 $ 398,000 $ 398,000 TOTAL $ 361,654 $ 967,080 $ 520,991 $ 1,080,070 [TOTAI, REVENUE & OTHER FUNDING SOURCES I $ 5,124,420 $ 5,491,070 $ 5,222,537 $ 5,621,007 OPERATING 'TRANSFERS - 01'T Due From CDBG Capital Project Building & Improvements Capital Project Vehicles TRANSFERS OUT $ 5.232 $ 239,508 $ 239,508 Final Public Hearing Page 7 City of Okeechobee Proposed 2013 -2014 Budget GENERAL FUND Combined Expenses SUPPLIES AND OTI IER SERVICES. 2011/2012 ACTUAL 2012/2013 BUDGET 2012/2013 ESTIMATE 2013/2014 PROPOSED PERSONNFI. COST. $ 173,352 1100 EXECUTIVE SALARIES $ 413,582 $ 487,376 $ 484,125 8 495,960 1200 REGULAR SALARIES $ 1,828,646 $ 1,926,608 $ 1,909,236 $ 1,933,255 1201 HOLIDAY PAY $ 17,556 $ 23,236 $ 17,693 $ 23,496 1202 OFF HOLIDAY PAY $ 21,045 $ 25,444 $ 24,825 $ 25,825 1 300 OTHER SALARY $ 84,800 $ 1 19,389 $ 112,955 $ 106,570 1400 OVERTIME $ 51,450 $ 44,983 $ 35,539 $ 45,025 1401 OVERTIME PAY /ANNUAL & SICK $ 47,595 $ 49,682 $ 54,284 $ 50,520 1402 DISPATCHER OVERTIME $ 4,372 $ 9,652 $ 2,648 $ 9,500 1403 OFFICERS OVERTIME PAY $ 46,525 $ 64,960 $ 38,146 $ 64,000 1501 AUXILIARY & VOLUNTEER PAY $ 9,832 $ 11,200 $ 9,636 $ 12,200 1510 LONGEVITY /SERVICE INCENTIVE $ 1.500 $ 1,250 $ 1,750 $ 1,500 1520 OFFICERS LONGEVITY /SERVICE $ - $ - $ - $ 500 1540 CAREER EDUCATION $ 12,922 $ 14,612 $ 13,715 $ 15,092 2100 FICA $ 191,511 $ 213,557 $ 201,003 $ 218,482 2200 RETIREMENT $ 402,832 $ 523,767 $ 521,476 $ 572,660 2300 LIFE AND HEALTH INSURANCE $ 344,512 $ 410,498 $ 390,110 $ 437,209 2400 WORKERS COMPENSATION $ 68,004 $ 74,282 $ 84,919 $ 94,343 2500 UNEMPLOYMENT TAXES TRAINING & MATERIALS $ 1,200 $ 1,294 $ 6,800 TOTAL PERSONNEL COSTS: $ 3,546,684 $ 4,001,696 $ 3,903,354 $ 4,112,937 SUPPLIES AND OTI IER SERVICES. 3100 PROFESSIONAL SERVICES $ 207,552 $ 197,176 $ 173,352 $ 191,180 3102 PROF SERVICES (PHYS FOR SCBA) $ 3,335 $ 3,800 $ 1,650 $ 3,800 3103 MUNICIPAL. CODE & WELLNESS PR $ 6,238 $ 7,380 $ 6,880 $ 7,860 3200 ACCOUNTING & AUDIT $ 27,300 $ 29,500 $ 26,800 $ 29,500 3300 LEGAL. COST $ 661 $ 20,000 $ 19,339 $ 18,173 3400 OTIIER CONTRACT SERVICES $ 91,295 $ 118,140 $ 91,013 $ 125,197 3401 GARBAGE COLLECTION FEE $ 353,790 $ 359,813 $ 358,848 $ 363,447 4000 TRAVEL AND PER DIEM $ 11,304 $ 23, 190 5 12,863 $ 22,690 4100 COMM. & FREIGHT $ 37,321 $ 60,786 5 64,347 $ 67,337 4300 UTILITIES $ 47,412 $ 57,927 $ 52,046 $ 57,677 4400 RENTALS AND LEASES $ 14,964 $ 17,475 $ 16,312 $ 14,780 4500 INSURANCE $ 121,286 $ 125,413 $ 119,421 $ 131,661 4600 R &M VEHICLES $ 18,570 $ 31,686 $ 25,121 $ 32,000 4609 R &M EQUIPMENT $ 67,618 $ 86,166 $ 71,145 5 87,482 4700 PRINTING $ 406 $ 2,550 $ 825 $ 2,550 4900 ADVERTISING /OTIIER CHARGES $ 13,553 $ 13,000 $ 9,850 $ 14,500 4901 EDUCATION- RESTRICTED $ 18,749 $ 24,183 $ 15,389 $ 25,300 4902 EDUCATION - NON- RESTRICTED $ 1,630 $ 5,950 $ 1,450 $ 5,950 4905 TRAINING & MATERIALS $ 1,386 $ 2,500 $ 1,000 $ 3,500 4903 CODE ENFORCEMENT $ 9,308 $ 9,M0 $ 7,444 $ 9,000 4909 MISCELLANEOUS $ 2,753 $ 12,300 $ 6,357 $ 10,300 5100 OFFICE SUPPLIES $ 6,677 3 13,450 5 9,855 $ 14,400 5101 DETECTIVE SUPPLIES $ 1,473 $ 3,000 $ 1,559 $ 3,000 5102 INVESTIGATION FEES $ 200 $ 1,800 $ 250 $ (800 5200 OPERATING SUPPLY $ 29,711 $ 43,650 $ 43,691 $ 49,835 5201 FUEL AND OIL $ 94,890 $ 123,423 5 103,334 $ 116,001 5202 OPERATING SUPPLIES (TIRES) $ 1005 $ 11,500 $ 9,397 $ 12,500 5203 UNIFORMS /PATCIIES $ 30,386 $ 32,775 $ 33,219 $ 28,500 5204 POSTAGE & SUPPLIES $ 4,483 $ 5,300 $ 5,413 $ 6,300 5204 DUMPING FEES $ - $ 500 $ - $ 500 5300 ROAD MATERIALS / SUPPLIES $ 267 $ - $ 1,235 $ 2,000 5400 BOOKS, PUBLICATIONS, ETC $ 8,852 $ 11,600 $ 9,941 $ 10,400 6300 IMPROVEMENTS $ - $ - $ - $ - 8100 SHARED SERVICES $ 8,000 $ 8,950 $ 8,937 $ 8,950 8200 AID TO PRIVATE ORGANIZATIONS $ - $ - $ - $ - 8201 INTERLOCAL PART. w /IRSC $ 2,272 $ - $ - $ - 8202 PUBLIC SERVICE GRANT $ 20,000 $ 10,000 $ 10,000 $ 30,000 8300 PUBLIC SERVICE GRANT $ 3,284 $ - $ 2,300 $ - TOTA1. SUPPLIES AND OTHER SERVICES $ 1,267,931 $ 1,473,883 $ 1,320,583 $ 1,508,070 TOTAL COST: $ 4,814,615 $ 5,475,579 $ 5,223,937 $ 5,621,007 Final Public Hearing Page 8 General Fund - 001 City of Okeechobee Proposed 2013 -2014 Budget DEPARTMENT: LEGISLATIVE (0511) Final Public Hearing Page 9 2011/2012 ACT( ALS 2012/2013 BUDGET 2012/2013 ESI'1MATES 2013/2014 PROPOSING 1100 EXECUTIVE: SALARIES $ 36,100 $ 36,100 $ 36,100 $ 36,100 1510 LONGEVITY /SERVICE INCENTIVE $ - $ - 5 500 $ 500 2100 FICA $ 2,725 $ 2,765 $ 2,484 $ 2,870 2200 RETIREMENT $ 3,704 $ 4,755 $ 3,754 $ 4,650 2300 LIFE AND I IEALTH INSURANCE $ 16,720 $ 30,781 $ 27,914 $ 28,689 2400 WORKERS COMPENSATION $ 162 $ 182 $ 182 $ 203 TOTAL PERSONNEL COSTS: $ 59,411 $ 74,583 $ 70,934 $ 73,012 Final Public Hearing Page 9 General Fund - 001 City of Okeechobee Proposed 2013 -2014 Budget DEPARTMENT: LEGISLATIVE (0511) OPERATIONS & SUPPLIES 2011/2012 A("I'E JA LS 2012/2013 BUDGET 2012/2013 EST IiV1ATES 2013/2014 PROPOSING 3400 OTIIER CONTRACT SERVICES $ 14,000 $ 14,000 $ 14,000 $ 14,000 4000 TRAVEL AND PER DIEM $ 1,125 $ 2,000 $ 500 $ 2,000 4100 COMM. & FREIGHT $ - $ 150 $ 1,600 $ 3,150 4500 INSURANCE $ 2,288 $ 2,536 $ 2.536 $ 2,815 4901 EDUCATION $ 640 $ 1,500 $ 250 $ 1,500 4909 MISCELLANEOUS $ 391 $ 1,000 $ 400 $ 1,000 5400 BOOKS, PUBLICATIONS, ETC $ 200 $ 1,200 $ 1,073 $ 1,200 8100 SI IARED SERVICES $ 8,000 $ 8,950 $ 8,937 $ 8,950 8200 AID TO PRIVATE ORGANIZATIONS $ - $ - $ - $ - 8201 INTERLOCAL PART. w /IRSC 8 2,272 $ - $ - $ - 8202 LOCAL COMMUNITY REQUEST $ 20,000 $ 10,000 $ 10,000 $ 30,000 TOTAL SUPPLIES AND OTIIER SERVICES $ 48,916 $ 41,336 $ 39,296 $ 64,615 GRAND TOTAL FOR DEPARTMENT 8 108,327 1 $ 115,919 1 $ 110,230 1 $ 137,627 2300 Health Insurance & Benefit cost adjustment 2400& 4500 Adjustment of Property /Casualty & WC Insurance Premiums 4100 Reimbursement of Cell phones. $600 each 8200 Shared Services Council, $8950 8202 Economic Development (Chamber), $10,000; Okeechobee Cattlemans Assn., $20,000 Final Public Hearing Page 10 General Fund - 001 City of Okeechobee Proposed 2013 -2014 Budget DEPARTMENT: EXECUTIVE (0512) PERSONNEL. COST: 2011/2012 AC UALS 2012/2013 BUDGET 202/2013 ESTIMATES 2013/2014 PROPOSING 1100 EXECUTIVE SALARIES $ 81,327 $ 83,606 $ 83,506 $ 85,608 1200 REGULAR SALARIES $ 33,834 $ 34,893 $ 34,875 $ 35,770 1510 LONGEVITY /SERVICE INCENTIVE $ - $ - $ - $ - 2100 FICA $ 8,948 $ 7,446 $ 8,444 $ 9,096 2200 RETIREMENT $ 14,628 $ 15,285 $ 15,447 $ 15,533 2300 LIFE AND HEALTH INSURANCE $ 11,573 $ 12,798 $ 12,629 $ 13,985 2400 WORKERS COMPENSATION $ 500 $ 554 $ 554 $ 649 TOTAL PERSONNEL COSTS: $ 150,810 $ 154,582 $ 155,455 $ 160,641 Final Public Hearing Page 11 General Fund - 001 City of Okeechobee Proposed 2013 -2014 Budget DEPARTMENT: EXECUTIVE (0512) SUPPLIES & OTHER SERVICES 2011/2012 ACI'IIALS 2012/2013 BUDGET 202/2013 ESTIMATES 2013/2014 PROPOSING 4000 TRAVEL AND PER DIEM $ 69 $ 1,500 $ 600 $ 1,500 4100 COMM. & FREIGHT $ 2,680 $ 4,500 $ 4,500 $ 4,500 4400 RENTALS & LEASES $ 2,057 $ 2,550 $ 2,640 $ 2,550 4500 INSURANCE $ 5,860 $ 3,112 $ 3,112 $ 3,355 4600 R &M VEHICLES $ 38 $ 500 $ 120 $ 500 4609 R &M EQUIPMENT $ 374 $ 1,150 $ 450 $ 1,150 4901 EDUCATION $ - $ 900 $ 100 $ 900 4909 MISCELLANEOUS $ 8 $ 500 $ 250 $ 500 5100 OFFICE SUPPLIES $ 94 $ 1,000 $ 560 $ 800 5200 OPERATING SUPPLY $ 120 $ 1,100 $ 420 $ 950 5201 FUEI, AND OIL $ 848 $ 1,190 $ 906 $ 1,120 5400 BOOKS, PUBLICATIONS, ETC $ 1,589 $ 1,750 $ 1,750 $ 1,350 6400 EQUIPMENT ($750 OR MORE) $ - $ - $ - $ - TOTAL SUPPLIES AND OTHER SERVICES 8 13,737 $ 19,752 8 15,408 $ 19,175 GRAND TOTAL FOR DEI'ARTMEN'I' $ 164,547 I $ 174,334 I $ 170,863 18 179,816 2300 Health insurance & Benefit cost adjustment 2200 Employer Contribution rate increased by .07 points 2400& 4500 Adjustment of Property /Casualty & WC Insurance Premiums 5201 Fuel 280 gal 4, $4.00 Final Public Hearing Page 12 General Fund - 001 City of Okeechobee Proposed 2013 -2014 Budget DEPARTMENT: CLERK OFFICE (2512) PERSONNEL COST: 2011/2012 AC'FIIALS 2012/2013 Budget 2012/2013 ESTIMATES 2013/2014 Proposing 1100 EXECUTIVE SALARIES $ 53,460 $ 54,706 $ 55,046 $ 56,400 1200 REGULAR SALARIES $ 33,124 $ 34,002 $ 34,001 $ 35,100 1300 OTHER SALARIES $ 12,057 $ 14,098 $ 13,604 $ 15,912 1510 LONGEVITY /SERVICE INCENTIVE $ - $ - $ - $ 500 2100 FICA $ 7,475 $ 6,671 $ 7,569 $ 9,218 2200 RETIREMENT $ 10,937 $ 11,672 $ 11,266 $ 11,885 2300 LIFE AND HEALTII INSURANCE $ 11,478 $ 12,718 $ 12,373 $ 14,878 2400 WORKERS COMPENSATION $ 358 $ 418 $ 418 5 489 TOTAL PERSONNEL COSTS: S 128,889 5 134,285 $ 134,277 $ 144,382 Final Public Hearing Page 13 General Fund - 001 City of Okeechobee Proposed 2013 -2014 Budget DEPARTMENT: CLERK OFFICE (2512) SUPPLIES & OTHER SERVICES 2011/2012 ESTIMATE 2012/2013 Budget 2012/2013 ESTIMATES 2013/2014 Proposing 3103 MUNICIPAL CODE $ 3,358 $ 4,500 $ 4,000 $ 4,500 3400 OTHER CONTRACTUAL. SERVICES $ 8,800 $ 9,000 $ 8,800 $ 9,000 4000 TRAVEL AND PER DIEM $ 1,630 $ 3,000 $ 1,500 $ 2,500 4100 COMM. & FREIGHT $ 2,080 $ 2,400 $ 2,251 $ 2,300 4500 INSURANCE $ 4,281 $ 4,631 $ 4,630 $ 4,823 4609 R &M EQUIPMENT $ 4,273 $ 5,600 $ 5,200 $ 6,350 4900 ADVERTISING/OTIIER CHARGES $ 13,553 $ 13,000 $ 9,850 $ 14,500 4901 EDUCATION $ 765 $ 1,500 $ 600 $ 1,500 4909 MISCELLANEOUS /ELECTION $ 794 $ 8,000 $ 4,600 $ 6,000 5100 OFFICE SUPPLIES $ 1,528 $ 2,500 $ 1,319 $ 2,500 5400 BOOKS, PUBLICATIONS, FTC $ 1,644 $ 2,000 $ 1,870 $ 2,000 6400 EQUIPMENT ($750 OR MORE) $ - $ - $ - $ - TOTAL SUPPLIES AND OTHER SERVICES $ 42,706 $ 56,131 $ 44,620 $ 55,973 GRAND TOTAL FOR DEPARTMENT $ 171,595 I $ 190,416 I $ 178,897 I $ 200,355 2200 Employer Contribution rate increased by .07 points 2400& 4500 Adjustment of Property /Casualty & WC Insurance Premiums 4609 Additional due to upgrade of digital equipment/software, $1300 4909 Decrease based on not an Election Year 4900 $1300 Increase for annexation costs Final Public Hearing Page 14 General Fund - 001 City of Okeechobee Proposed 2013 -2014 Budget DEPARTMENT: LEGAL SERVICES (0514) SUPPLIES & OTHER SERVICES 2011/2012 ACTUALS 2012/2013 BUDGET 2012 /2013 ESTIMATE BUDGET PROPOSING 2300 IIEALTI► INSURANCE $ 5,365 $ 5,790 $ 5,880 $ 6,840 3100 PROFESSIONAL SERVICES $ 38,218 $ 42,033 $ 39,845 $ 43,430 3300 LEGAL COST $ 661 $ 20,000 $ 19.339 $ 18.173 4000 TRAVEL AND PER DIEM $ 508 $ 800 $ 292 $ 800 4100 COMM. AND FREIGHT SERVICES $ 351 $ 1,200 $ 849 $ 1,010 4609 R &M EQUIPMENT $ 225 $ 600 $ 375 $ 600 4901 EDUCATION $ 275 $ 750 $ 475 $ 750 5100 OFFICE SUPPLIES $ 200 $ 150 $ (50) $ 150 5400 MEMBERSHIP & SUBSCRIPTIONS $ 500 $ 500 $ - $ 500 TOTAL SUPPLIES AND OTHER SERVICES $ 46,303 $ 71,823 $ 67,005 $ 72,253 GRAND 'TOTAI, FOR DEPARTMEN'I $ 46,303 I $ 71,823 J $ 67,005 I $ 72,253 Final Public Hearing Page 15 General Fund - 001 City of Okeechobee Proposed 2013 -2014 Budget DEPARTMENT: FINANCE DEPARTMENT (0513) PERSONNEL COST: 2011/2012 ACTtAALS 2012/2013 BUDGET 2012/2013 ESTIMATES 2013/2014 Proposing 1100 EXECUTIVE SALARIES $ 51,111 $ 51,988 $ 51,988 $ 53,425 1200 REGULAR SALARIES $ 63,590 $ 66,486 $ 64,797 $ 66,437 1510 LONGEVITY /SERVICE INCENTIVE $ - $ - $ - $ - 21 00 FICA $ 8,244 $ 9,180 $ 9,110 $ 9,360 2200 RETIREMENT $ 14,434 $ 15,277 $ 15,060 $ 15,538 2300 LIFE AND IIEALTIl INSURANCE $ 17,840 $ 19,718 $ 19,350 $ 21,413 2400 WORKERS COMPENSATION $ 410 $ 493 $ 490 $ 615 2500 UNEMPLOYMENT TAXES $ - $ - $ - $ - TOTAL PERSONNEL COSTS: $ 155,629 $ 163,142 $ 160,795 $ 166,788 Final Public Hearing Page 16 General Fund - 001 City of Okeechobee Proposed 2013 -2014 Budget DEPARTMENT: FINANCE DEPARTMENT (0513) SUPPLIES & OTHER SERVICES 2011/2012 AC,TUALS 2012/2013 BUDGET 2012/2013 ESTIMATES 2013/2014 Proposing 3200 ACCOUNTING & AUDIT $ 27,300 $ 29,500 $ 26,800 $ 29,500 3400 ()TILER CONTRACTUAL SERVICES $ - $ 25,200 $ 10,500 $ 12,000 4000 TRAVEL AND PER DIEM $ 924 $ 1,750 $ 900 $ 1,750 4100 COMM. & FREIGHT $ 2,036 $ 2,750 $ 2,545 $ 2,750 4500 INSURANCE $ 4,576 $ 5,009 $ 5,009 $ 5,860 4609 R &M EQUIPMENT $ 8,002 $ 12,602 $ 9,230 $ 13,865 4901 EDUCATION $ 245 $ 1,050 $ 300 $ 850 4909 MISCELLANEOUS $ 2 $ 100 $ 25 $ 100 5100 OFFICE SUPPLIES $ 559 $ 1,200 $ 1,150 $ 1,200 5200 OPERATING SUPPLY $ 9,409 $ 13,900 $ 11,500 $ 16,310 5400 BOOKS, PUBLICATIONS, ETC $ 100 $ 200 $ 100 $ 150 6400 EQUIPMENT ($750 OR MORE) $ - 8 1 $ - $ - TOTAL SUPPLIES AND OTHER SERVICES 8 53,153 $ 93,262 $ 68,059 $ 84,335 TOTAL COST: $ 208,782 I $ 256,404 I $ 228,854 $ 251,123 2200 2400 & 4500 Adjustment of 11.5% Property /Casualty & WC insurance Premiums 3400 Web site design, $12,000 5200 Risk Management Building appraisal (P &C' Ins. Every 5 yrs), $1610; ACS Software Maint. Ag, 10%; Wellness Fair, $250 Employer Contribution rate increased by .07 points Final Public Hearing Page 17 General Fund - 001 City of Okeechobee Proposed 2013 -2014 Budget DEPARTMENT: GENERAL SERVICES (0519) PERSONNEL. COST: 2011/2012 ACTEALS 2012/2013 Budget 2012/2013 ESTIMATES 2013/2014 Proposing 1200 REGULAR SALARIES $ 33,052 $ 32,640 $ 33,341 $ 34,571 1300 OTHER SALARY $ 27,331 $ 33,670 $ 28,769 $ 32,750 1400 OVERTIME $ 47 $ - $ - $ - 1510 LONGEVITY /SERVICE INCENTIVE $ - $ - $ - $ - 2100 FICA $ 4,664 $ 4,919 $ 4,598 $ 5,240 2200 RETIREMENT $ 4,016 $ 4,381 $ 4,391 $ 4,498 2300 LIFE AND HEALTH INSURANCE $ 5,194 $ 6,138 $ 6,065 $ 6,850 2400 WORKERS COMPENSATION $ 398 $ 433 $ 433 $ 490 TOTAL PERSONNEL COST'S: $ 74,702 8 82,181 $ 77,597 $ 84,399 Final Public Hearing Page 18 General Fund - 001 City of Okeechobee Proposed 2013 -2014 Budget DEPARTMENT: GENERAL SERVICES (0519) SUPPLIES & OTHER SERVICES 2011/2012 ACTUALS 2012/2013 Budget 2012/2013 ESTIMATES 2013/2014 PROPOSING 3100 PROFESSIONAL SERVICES $ 137,153 $ 119,530 $ 108,243 $ 114,650 3400 OTIIER CONTRACTUAL SERVICES $ 67,415 $ 67,940 $ 57,713 $ 69,940 4000 TRAVEL AND PER DIEM $ 2,270 $ 3,640 $ 2,445 $ 3,640 4100 COMM. & FREIGHT $ 2,086 $ 2,136 $ 2,234 $ 2,153 4300 UTILITIES $ 9,092 $ 10,177 $ 10,107 $ 10,177 4400 RENTALS AND LEASES $ 3,346 $ 3,605 $ 3,660 $ 3,900 4500 INSURANCE $ 12,816 $ 14,375 $ 14,370 $ 15,951 4600 R &M VEHICLES $ - $ - $ - $ - 4609 R &M EQUIPMENT $ 3,518 $ 10,461 $ 6,777 $ 10,451 4901 EDUCATION $ 129 $ 300 $ 258 $ 300 4909 MISCELLANEOUS $ 104 $ 300 $ 100 $ 300 5100 OFFICE SUPPLIES $ 1,589 $ 1,700 $ 1,786 $ 2,000 5200 OPERATING SUPPLY $ 2,619 $ 2,750 $ 2,761 $ 2,750 5201 FUEL AND OII. $ - $ - $ - $ - 5204 POSTAGE & SUPPLIES $ 4,483 $ 5,300 $ 5,413 $ 6,300 5400 BOOKS, PUBLICATIONS, ETC $ 85 $ 200 $ 100 $ 200 6400 EQUIPMENT ($750 OR MORE) $ - $ - $ - $ - TOTAL SIPPLIES AND OTIIER SERVICES $ 246,705 $ 242,414 $ 215,967 $ 242,712 GRANT) TOTAL FOR DEPARTMENT 8 321,407 I $ 324,595 I $ 293,564 I $ 327,111 2,300 Health Insurance & Benefit Cost adjustment 2200 Employer Contribution rate increased by .07 points 3100 Adjusted based on anticipated need (Building, Planner, DCA -DBPR) 3400 Adjusted based on trend (Animal Control): Copier add' charges; Pest control 4400 Rental of Copier, $2811: Postage Machine and updates 4609 IMS, R &M Equip 3,500: Fire & Litt Inspection /License: R &M Equip $5000 2400 & 4500 Adjustment of Property /Casualty & WC 1 l.5% Insurance Premiums Final Public Hearing Page 19 General Fund - 001 City of Okeechobee Proposed 2013 -2014 Budget DEPARTMENT: POLICE DEPARTMENT (0521) PERSONNEL COST: 2011/2012 ACTEALS 2012/2013 Budget 2012/2013 ES'T'IMATES 2013/2014 Proposing 1100 EXECUTIVE SALARIES $ 65,514 $ 67,010 $ 67,725 $ 68,796 1200 REGULAR SALARIES $ 846,208 $ 885,575 $ 872,714 $ 902,166 1201 HOLIDAY PAY $ 672 $ - $ - 1202 OFFICERS HOLIDAY PAY $ 21,045 $ 25,444 $ 24,825 $ 25,825 1300 OTHER SALARY $ 4,546 $ 25,123 $ 24,924 $ 25,000 1400 OVERTIME $ 22,251 $ 12,500 $ 10,161 $ 12,500 1403 OFFICERS OVERTIME PAY $ 46,525 $ 64,960 $ 38,146 $ 64,000 1501 AUXILIARY PAY $ 1,200 $ 1,200 $ 1,200 $ 1,200 1510 LONGEVITY /SERVICE INCENTIVE $ - $ - $ - $ - 1520 OFFICERS LONGEVITY /SERVICE $ - $ - $ 500 1540 CAREER EDUCATION $ 11,722 $ 12,692 $ 12,515 $ 13,172 2100 FICA $ 79,925 $ 85,466 $ 80,588 $ 85,758 2200 RETIREMENT $ 208,722 $ 302,575 $ 302,000 $ 298,688 2300 LIFE AND HEALTH INSURANCE $ 156,147 $ 171,085 $ 164,614 $ 184,582 2400 WORKERS COMPENSATION $ 26,990 $ 29,395 $ 29,400 $ 34,682 2500 UNEMPLOYMENT COMP. $ - $ 1,200 $ - $ - TOTAL PERSONNEL COSTS: $ 1,491,467 $ 1,683,025 $ 1,628,812 $ 1,716,869 Final Public Hearing Page 20 City of Okeechobee Proposed 2013 -2014 Budget DEPARTMENT: POLICE DEPARTMENT (0521) SUPPLIES & OTHER SERVICES 2011/2012 ACI'IAALS 2012/2013 Budget 2012/2013 ESTIMATES 2013/2014 Proposing 3100 PROFESSIONAL SERVICES $ 17,262 $ 20,313 $ 17,264 $ 20,300 3400 OTHER CONTRACTURAL SERVICES $ - $ - $ - $ 15,002 4000 TRAVEL AND PER DIEM $ 4,293 $ 5,000 $ 4,860 $ 5,000 4100 COMM. & FREIGHT $ 15,612 $ 31,500 $ 30,378 $ 32,208 4300 UTILITIES $ 13,723 $ 15,500 $ 14,377 $ 15,500 4400 RENTALS AND LEASES $ 7,669 $ 8,420 $ 8,326 $ 5,430 4500 INSURANCE $ 34,989 $ 37,854 $ 37,800 $ 42,207 4600 R &M VEHICLES $ 1,307 $ 7,000 $ 7,331 $ 7,500 4609 R &M EQUIPMENT $ 13,317 $ 18,700 $ 18,007 $ 15,266 4700 PRINTING $ 347 $ 2,000 $ 450 $ 2,000 4901 EDUCATION- RESTRICTED $ 2,125 $ 4,500 $ 1,200 $ 4,500 4902 EDUCATION - NON - RESTRICTED $ 370 $ 4,500 $ 1,450 $ 4,500 4909 MISCELLANEOUS $ 763 $ 1,500 $ 500 $ 1,500 5100 OFFICE SUPPLIES $ 1,522 8 5,000 $ 3,009 $ 5,000 5101 DETECTIVE SUPPLIES $ 1,473 $ 3,000 $ 1,559 $ 3.000 5102 INVESTIGATION FEES $ 200 $ 1,800 $ 250 $ 1,800 5200 OPERATING SUPPLY $ 9,092 $ 12,900 $ 12,109 $ 14,000 5201 FUEL AND OIL $ 59,077 $ 78,625 $ 64,492 $ 74,000 5202 OPERATING SUPPLIES (FIRES) $ 584 $ 7,000 $ 5,020 $ 7,000 5203 UNIFORMS /PATCIIES $ 12,516 $ 12,375 $ 10,596 $ 13,000 5400 BOOKS, PUBLICATIONS, ETC' $ 1,108 $ 1,500 $ 990 $ 1,500 6400 EQUIPMENT ($750 OR MORE) $ - $ - $ - $ - 8300 PUBLIC SERVICE GRANT $ 3,284 $ - $ 2,300 $ - TOTAL St PPLIES AND OTIIER SERVICES $ 200,633 $ 278,987 $ 242,268 $ 290.213 GRAND TOTAL FOR DEPARTMENT I $ 1,692.100 I $ 1,962,012 I $ 1,871,080 I $ 2,007,082 1200 Amending title and pay for Sergeant of Detectives: Listing $1,000 Stipend for Detectives 2300 Health Insurance & Benefit Cost adjustment 1540 Increase Career El), $340 - Officers close to added education certification 2200 Employer Contribution rate increased by 3.34 points 3400 Maint. Radios 7 mnths $4255; Maint on Consoles, $7312: Maint CAD, $3434 4100 $9 access fees per radio per month (51); Add! cell reimbursement, $600 4400 Decreased 'Power Rental cost $3,000; cost savings 4609 Shifted line item cost to 521 -3400 for Maint of Consoles & Radios; and CAD Maint. 2400 & 4500 Adjustment of Property /Casualty & WC Insurance Premiums by 11.5% 5200 Reflects a $1,100 increase due to the increased cost of supplies and doing business 5201 Est. 18,500 gallons u, $4.00 5203 Reflects increase costs associated with uniforms and body armor 522 -1402 Dispatcher Overtime was not adjusted @. $9,500 (In Fire Dept budget) Final Public Hearing Page 21 General Fund - 001 City of Okeechobee Proposed 2013 -2014 Budget DEPARTMENT: FIRE DEPARTMENT (0522) PERSONNEL C0ST: 2011/2012 ACTUAI,S 2012/2013 Budget 2012/2013 ESTIMATES 2013/2014 Proposing 1100 EXECUTIVE SALARIES $ 60,823 $ 63,230 $ 63,531 $ 65,229 1200 REGULAR SALARIES $ 589,037 $ 620,820 $ 603,871 $ 600,677 1201 HOLIDAY PAY $ 16,884 $ 23,236 $ 17,693 $ 23,496 1300 OTHER SALARY $ 23,756 $ 27,978 $ 27,138 $ 26,908 1400 OVERTIME $ 27,559 $ 29,641 $ 22,944 $ 29,641 1401 OVERTIME PAY /ANNUAL & SICK $ 47,595 $ 49,682 $ 54,284 $ 50,520 1402 DISPATCHER OVERTIME $ 4,372 $ 9,652 $ 2,648 $ 9,500 1501 VOLUNTEER PAY $ 8,632 $ 10,000 $ 8,436 $ 11,000 1510 LONGEVITY /SERVICE INCENTIVE $ 750 $ - $ - $ 500 1540 CAREER EDUCATION $ 1,200 $ 1,920 $ 1,200 $ 1,920 2100 FICA $ 57,364 $ 63,580 $ 59,215 $ 64,553 2200 RETIREMENT $ 114,138 $ 120,164 $ 120,100 $ 171,423 2300 LIFE AND HEALTH INSURANCE $ 79,606 $ 91,593 $ 83,946 $ 94,051 2400 WORKERS COMPENSATION $ 20,146 $ 22,015 $ 30,875 $ 32,026 2500 UNEMPLOYMENT COMPENSATION $ 256 $ - $ - $ 600 TOTAL 'ERSONNEL COSTS: 81,052,118 $1,133,511 81,095,881 $1,182,044 Final Public Hearing Page 22 City of Okeechobee Proposed 2013 -2014 Budget DEPARTMENT: FIRE DEPARTMENT (0522) SUPPLIES & OT11ER SERVICES 2011/2012 ACTUALS 2012/2013 Budget 2012/2013 ESTIMATES 2013/2014 Proposing 3100 PROFESSIONAL SERVICES $ 7,470 $ 7,800 $ 7,650 $ 7,800 3102 PROF SERV (PHYS FOR SCBA) $ 3,335 $ 3,800 $ 1,650 $ 3,800 3103 WELLNESS PROGRAM $ 2,880 $ 2,880 $ 2,880 $ 3,360 3400 OTHER CONTRACTUAL SERVICES $ - $ - $ - $ 2,450 4000 TRAVEL AND PER DIEM $ 350 $ 3,500 $ 1,016 $ 3,500 4100 COMM. & FREIGIIT $ 9,831 $ 11,150 $ 15,550 $ 13,766 4300 UTILITIES $ 9,831 $ 13,750 $ 10,772 $ 13,500 4400 RENTALS AND LEASES $ 1,716 $ 2,400 $ 1,686 $ 2,400 4500 INSURANCE $ 29,997 $ 29,118 $ 24,985 $ 26,568 4600 R &M VEHICLES $ 16,805 $ 20,686 $ 15,000 $ 20,500 4609 R &M BUILDING & EQUIPMENT $ 16,354 $ 22,053 $ 16,120 $ 24,800 4700 PRINTING $ 59 $ 550 $ 375 $ 550 4901 EDUCATION $ 13,751 $ 11,483 $ 10,006 $ 12,000 4902 PUBLIC EDUCATION & FIRE PREV. $ 1,260 $ 1,450 $ - $ 1,450 4903 CODE ENFORCEMENT $ 9,308 $ 9,000 $ 7,444 $ 9,000 4905 TRAINING & MATERIALS $ 1,386 $ 2,500 $ 1,000 $ 3,500 4909 MISCELLANEOUS $ 248 $ 400 $ 182 $ 400 5100 OFFICE SUPPLIES $ 953 $ 1,400 $ 1,401 $ 2,000 5200 OPERATING SUPPLY $ 7,301 $ 11,000 $ 10,920 $ 11,825 5201 FUEL AND OIL $ 9,040 $ 11,500 $ 9,436 8 11,468 5202 OPERATING SUPPLIES (TIRES) $ - $ 2,500 $ 2,430 $ 2,500 5203 UNIFORMS/PATCHES $ 6,500 $ 8,000 $ 10,677 $ 8,000 5203 WIILDI,AND GEAR /Bunker Gear $ 6,400 $ 6,400 $ 6,400 $ - 5400 BOOKS, PUBLICATIONS, ETC $ 3,576 $ 3,500 $ 3,498 $ 3,000 6400 EQUIPMENT ($750 OR MORE) $ - $ - $ - $ - TOTAL SUPPLIES AND OTHER SERVICES: $ 158,351 $ 186,820 8 161,078 $ 188,137 GRAND TOTAL FOR DEPARTMENT 1$ 1,210,469 1 S 1,320,331 1$ 1,256,959 1 S 1,370,181 1501 Increase $1000 due to 3 certified FF & fill in potentials 2300 l lealth Insurance & Benefit Cost adjustment 2200 Employer Contribution rate increased by 7.81 points 3400 Maint. Of SEERS radios d. $145 each 4100 Adding $9.00 User Fee per Radio for 12 months; Sprint MiFI $600 4609 Maint monthly user for fire inspection field software, $1800; Replacement furniture, $1000 4901 Education cost increased based on certifications /need, Fire Officers I Cert. 4902 inventory for participation in annual safety expo; public awareness /prevention 4905 Increase $1000, ISO oval, mid management training needed (new) 2400 & 4500 Adjustment of Property /Casualty & WC insurance Premiums 11.5% 5200 $825, Software one time cost for Web based programs in lieu of annual cost (reduced 5400 by $800) 5400 Removed annual subscription for Fire program; initialling increased based on needed, net $500 decrease 5201 Fuel, Gas 450 gal. @ $4.00; Diesel 2275 gal. cr) pump on road @ $4.25 Final Public Hearing Page 23 General Fund - 001 City of Okeechobee Proposed 2013 -2014 Budget DEPARTMENT: PUBLIC WORKS (0541) PERSONNEL COST: 2011/2012 ACTUALS 2012/2013 Budget 2012/2013 ESTIMATES 2013/2014 Proposing 1100 EXECUTIVE SALARIES $ 65,247 $ 130,736 $ 126,229 $ 130,402 1200 REGULAR SALARIES $ 229,801 $ 252,192 $ 265,637 $ 258,534 1300 OT11ER SALARIES $ 17,110 $ 18,520 $ 18,520 $ 6,000 1400 OVERTIME $ 1,593 $ 2,842 $ 2,434 $ 2,884 1510 LONGEVITY /SERVICE INCENTIVE $ 750 $ 1,250 $ 1,250 $ - 2100 FICA $ 22,166 $ 33,530 $ 28,995 $ 32,387 2200 RETIREMENT $ 32,253 $ 49,658 $ 49,458 $ 50,445 2300 LIFE AND I IEALTH INSURANCE $ 40,589 $ 59,877 $ 57,339 $ 65,921 2400 WORKERS COMPENSA'T'ION $ 19,040 $ 20,792 $ 22,567 $ 25,189 2500 UNEMPLOYMENT COST $ 271 $ 1,200 $ 1,294 $ 6,200 TOTAL PERSONNEL COSTS: $ 428,820 $ 570,597 $ 573,723 $ 577,962 Final Public Hearing Page 24 ral Fund - 001 City of Okeechobee Proposed 2013 -2014 Budget DEPARTMENT: PUBLIC WORKS (0541) SUPPLIES & OTHER SERVICES 2011/2012 ACTUALS 2012/2013 Budget 2012/2013 ESTIMATES 2013/2014 Proposing 3100 PROFESSIONAL. SERVICES $ 7,449 $ 7,500 $ 350 $ 5,000 3400 OTHER CONTRACTUAL SERVICES $ 1,080 $ 2,000 $ - $ 2,805 3401 GARBAGE COLLECTION FEE $ 353,790 $ 359,813 $ 358,848 $ 363,447 4000 TRAVEL AND PER DIEM $ 135 $ 2,000 $ 750 $ 2,000 4100 COMM. & FREIGHT $ 2,645 $ 5,000 $ 4,440 $ 5,500 4300 UTILITIES $ 14,766 $ 18,500 $ 16,790 $ 18,500 4400 RENTALS & LEASES $ 176 $ 500 $ - $ 500 4500 INSURANCE $ 26,479 $ 28,778 $ 26,979 $ 30,082 4600 R &M VEHICLES $ 420 $ 3,500 $ 2,670 $ 3,500 4609 R &M BUILDING & EQUIPMENT $ 21,555 $ 15,000 $ 14,986 $ 15,000 4901 EDUCATION $ 819 $ 2,200 $ 2,200 $ 3,000 4909 MISCF.I.LANEOUS $ 443 $ 500 $ 300 $ 500 5100 OFFICE. SUPPLIES $ 232 $ 500 $ 680 $ 750 5200 OPERATING SUPPLY $ 1,170 $ 2,000 $ 5,981 $ 4,000 5201 FUEL AND OII, $ 25,925 $ 32,108 $ 28,500 $ 29,413 5202 OPERATING SUPPLIES (TIRES) $ 421 $ 2.000 $ 1,947 $ 3,000 5203 UNIFORMS $ 4,970 $ 6,000 $ 5,546 $ 7,500 5204 DUMPING FEES $ - $ 500 $ - $ 500 5205 MOSQUITO CONTROL $ 267 $ - $ 1,235 $ 2,000 5300 ROAD MATERIALS /SUPPLIES $ 2,184 $ - $ 100 $ - 5400 BOOKS, PUBLICATIONS. ETC $ 50 $ 750 $ 560 $ 500 6300 IMPROVEMENTS $ - $ - $ - $ - 6400 EQUIPMENT (8750 OR MORE) $ - $ - $ - $ - TOTAI. SUPPLIES AND OTIIER SERVICES: $ 464,976 $ 489,149 $ 472,862 $ 497,497 GRAND TOTAL FOR DEPARTMENT $ 893,796 I $ 1,059,746 I $ 1,046,585 I $ 1,075,459 1300 1 worker, 12 weeks n 40 hours each week 3100 Decrease $2500, Commerce park retention reports completed 3400 Add Maint fees per radio 9 a, 145 3401 Garbage cost, 1.01% increase over last year 4100 $9.00 User Fee per Radio per month; Additional Cell Reimbursement for Lcad ()pr 4901 Continue certification for existing employees and Public Works Director; Traffic Maint.; Spray Cert. 5200 Increase Operating by $1,000 adding /replacing weed eaters, saws. edger's 5201 Fuel, Gas 3400 gal /i $4.00; Diesel off road /3 $3.85; Diesel n pump on road q, $4.25 using the gallons from previous years increase due to increased mowing during summer months Increase Operating by 82000 adding/replacing weed eaters, saws, edger's, Personal Safety Equipment, Shop Equipment 5200 5202 Operating Tires- Increasing by $1,000 item was decreased by $2k %py budget; adjusted to meet estimated needs 5203 Increasing uniforms to provide ANSI certified shirts, increasing worker safety and convenience and eliminating need for safety vests 5205 Mosquito control addition Final Public Hearing Page 25 Public Facility Fund -301 City of Okeechobee Proposed 2013 -2014 Budget Public Facility Fund (Transportation) 2011/2012 ACTUALS 2012/2013 Budget 2012/2013 ESTIMATES 2013/2014 Proposing F/Y BEGINNING FUND BALANCE $ 825,769 $ 648,780 $ 883,941 $ 874,851 REVENUES 301- 313.4100 LOCAL OPTION GAS TAX $ 336,731 $ 320,725 $ 322,390 $ 321,240 301- 313.4200 LOCAL ALTER, FUEL USER FEE $ 216,086 $ 200,490 $ 203,530 $ 200,860 301- 335.1220 SRS EIGHT CENT MOTOR FUEL $ 74,746 $ 64,508 $ 71,606 $ 66,401 301- 312.3000 NINTH CENT FUEL FAX $ 60,797 $ 48,009 $ 54,728 $ 50,500 301- 335.4100 MOTOR FUN, TAX REBATE $ 3,092 $ 1,800 $ 2,892 $ 1,950 301 - 361.1000 INTEREST EARNINGS $ 809 $ 600 $ 606 $ 600 301 - 369.1000 MISCELLANEOUS $ 10,000 $ - $ - $ - TOTAL REVENUES 702,261 636,132 655,752 641,551 EXPENDITURES 301- 549.3100 PUBLIC FAC.- PROFESSIONAL SER. $ - $ 2,500 $ - $ 2,000 301 -549 -3400 PUBLIC FAC. CONTRACTUAL SERVICE $ 58,629 $ 65,000 $ 60,382 $ 57.500 301- 549 -4300 PUBLIC FAC. UTILITIES $ 72,677 $ 85,323 $ 71,259 $ 87.000 301 -549 -4609 REPAIR & MAINTENANCE $ 6.951 $ 13,000 $ 8,896 $ 16,500 301 -549 -4909 MISC -PARK HOLIDAY LIGHTS $ 1,133 $ 2.500 $ 1,610 $ 2.000 301 -549 -5300 PUBLIC FAC. ROAD & MATERIALS $ 10,897 $ 85,000 $ 46,500 $ 70,000 301 -549 -6300 PUBLIC FAC. IMPROVEMENTS $ 7,107 $ 350,000 $ 60,250 $ 350.000 301 - 549.6302 PUBLIC FAC. BEAUTIFICATION $ 1,134 $ 2,500 $ 2,450 $ 5.000 301- 549.6400 PUBLIC FAC. MACHINERY & EQUIP $ 167.861 $ 15,000 $ 15.495 $ 85,500 TOTAL EXPENSES $ 326,389 $ 620,823 $ 266,842 $ 675,500 !Transfer to General Fund $ 317,700 $ 398,000 $ 398,000 $ 398,000 F /V ENDING FUND BALANCE $ 883,941 j $ 266,089 1 $ 874,851 $ 442,902 Final Public Hearing Page 26 City of Okeechobee Proposed 2013 -2014 Budget PROI'OSED FISCAL YEAR (2013 -2014) DETAIL 3400 Decrease due to drop in street sweeping annual contract price $ (7,500) 4300 charged to city due to FPL error $ 1,500 4609 Trash Cans for Park $ 2,500 Irrigation Upgrads to Butterfly Garden $ 1,000 5300 Repair of roads /canal cleanup, /etc. Sign Repair /Replacement, Increased $10,000 to meet new retro reflectivity $ 20,000 standard deadline ROW Drainage $ 10,000 R &M Roads /Culverts $ 15,000 Storm water infiltration repair $ 15,000 Storm Water Ditch Maint Adjustments $ 10,000 6300 Asphalt program, $ 250,000 6300 Sidewalks originally, $70,000 increased by $30,000 $ 100,000 6400 New Public Works Director Truck $ 32,000 Replacement of 1 ton Utility Diesel dually Truck $ 43,000 Radio for new PWD Truck $ 7,000 GPS Field Data Collection device $ 3,500 Final Public Hearing Page 27 City of Okeechobee Proposed 2013 -2014 Budget CDBG FUND RECAPITULATION - REVENUE & EXPENSES 2011/2012 Actual 2012/2013 Budget 2012/2013 Estimate 2013/2014 Proposed FN BEGINNING FUND BALANCE $ 32 32 32 32 REVENUES 302 - 331.3200 302 - 331.3900 302 - 361.1000 302 - 381.0000 CDBG GRANT (STATE) $ 106,697 $ 573,500 $ 497,315 $ 64,000 CDBG GRANT Economic Development Grant $ - $ - $ - $ - Interest Earnings $ - $ - $ - $ - TRANSFER IN - GENERAL FUND RESERVES $ - $ - $ - $ - T'OTAL REVENUES $ 106,697 $ 573,500 $ 497,315 $ 64,000 EXPENDITURES 302 - 2552.3100 302 - 2552.3200 302 - 2552.4609 302 - 2552.4609 302 - 2552.4909 302 - 2000 -4909 302 - 2752.3100 302 - 2752.3200 302 - 2752.4909 302 - 2752.4609 PROFESSIONAL SERVICES $ 60,000 $ 35,000 $ 25,000 $ - ADMINISTRATIVE SERVICES $ 4,350 $ 4,500 $ 1,400 $ 1,000 "TEMPORARY RELOCATION $ 300 $ 34,000 $ 23,000 $ 10,000 HOUSING REIIAB DEMO /REPI. /RELOC $ 41,508 $ 500,000 $ 447,884 $ 53,000 MISCELLANEOUS $ - $ - $ - $ - MISCELLANEOUS - BANKING EXP $ 32 PROFESSIONAL SERVICES $ - $ - $ - $ - ADMINIS"IRATIVF. SERVICES $ - $ - $ - $ - MISCELLANEOUS $ - $ - $ - $ - STREET IMPROVEMENTS /ADDITIONS $ - $ - $ - $ - TOTAL EXI'ENSES $ 106,158 $ 573,500 $ 497,315 $ 64,000 1F /V ENDING FUND BALANCE $ 321$ 321$ 321$ 32 DUE TO GENERAL FUND 331 -3200 Small Cities Community Development Block Grant 1 lousing Rehabilitation & Relocation Final Public Hearing $ 5,232 $ 5,232 $ 239,508 $ 239,508 Page 28 City of Okeechobee Proposed 2013 -2014 Budget CDBG - Economic Grant RECAPITULATION - REVENUE & EXPENSES IF/Y BEGINNING FUND BALANCE 2011/2012 Actual 2012/2013 Budget 2012/2013 Estimtes 2013/2014 Proposed REVENUES 306 - 331.3900 306 - 361.0000 306 - 369.1000 306 - 381.0000 EXPENDITURES 306 - 2752.3100 306 - 2752.3101 306- 2752.3102 306- 2752.4909 306 - 2752.6300 $ - CDBG GRANT Economic Development Grant $ - $ 257,827 $ 36,918 $ 220,909 Interest Earnings $ - $ 37,735 $ 25,888 $ - Misccllaneous $ - $ - $ - $ 12,000 TRANSFER IN - CAP'I'TAL FUND RESERVES $ - $ - $ - $ - TO'I'AL REVENUES $ - $ 257,827 $ 36,918 $ 232,909 EXPENDITURES 306 - 2752.3100 306 - 2752.3101 306- 2752.3102 306- 2752.4909 306 - 2752.6300 FY ENDING FUND BALANCE 331 -3900 Small Cities Community Development Block Grant Economic Dev. - Turn lane addition for Hwy 70 Final Public Hearing Page 29 PROFESSIONAL SERVICES $ - $ 18,098 $ 10,800 $ 7,298 PROFESSIONAL SERVICES- Engineering $ - $ 37,735 $ 25,888 $ 11,847 ADMINISTRATIVE SERVICES $ - $ 1,000 $ 230 $ 770 MISCELLANEOUS $ - $ - $ - $ - S'IREE'I' IMPROVEMENTS /ADDITIONS $ - $ 200,994 $ - $ 212,994 TOTAL EXPENSES $ 257,827 $ 36,918 $ 232,909 FY ENDING FUND BALANCE 331 -3900 Small Cities Community Development Block Grant Economic Dev. - Turn lane addition for Hwy 70 Final Public Hearing Page 29 City of Okeechobee Proposed 2013 -2014 Budget Appropriations Grant RECAPITULATION - REVENUE & EXPENSES 2011/2012 Budget 2011/2012 Estimate 2012/2013 Proposed 2013/2014 Proposed F/Y BEGINNING FUND BALANCE REVENUES 307 - 334.3900 307 - 361.1000 307 - 381.0000 EXPENDITURES 307 - 559.3100 307 - 559.3102 307 - 559.4909 307 - 559.6300 $ - $ - Appropriation Funds $ - $ - $ - $ 250,000 Interest Earnings $ - $ - $ - $ - IRANSFER IN - CAPITAL FUND RESERVES $ - $ - $ - $ 25,000 TOTAL REVENUES $ - $ - $ - $ 275,000 EXPENDITURES 307 - 559.3100 307 - 559.3102 307 - 559.4909 307 - 559.6300 IF /Y ENDING HIND BALANCE 334 -3900 Stormwater /Canal Grant Final Public Hearing Page 30 PROFESSIONAL SERVICES $ - $ - $ - $ 25,000 PROFESSIONAL SERVICES- Engineering $ - $ - $ - $ 11,847 ADMINISTRATIVE SERVICES $ - $ - $ - $ 1,000 STREET IMPROVEMENTS /ADDITIONS $ - $ - $ - $ 237,153 TOTAL EXPENSES $ - $ - $ 275,000 IF /Y ENDING HIND BALANCE 334 -3900 Stormwater /Canal Grant Final Public Hearing Page 30 City of Okeechobee Proposed 2013 -2014 Budget FDOT -GRANT RECAPITULATION - REVENUE & EXPENSES 2011/2012 Budget 2011/2012 Estimate 2012/2013 Budget 2013/2014 Proposed F/Y BEGINNING FUND BALANCE REVENUES 308 -331 -3900 308 - 369.1000 308 - 381.0000 EXPENDITURES 308 - 549.3100 308 - 549.3102 308 - 549.4909 308 - 549.4609 308 - 549.6300 $ - $ FDOT Grant $ - $ - $ - $ 100,000 Misc. Revenue $ - $ - $ - $ - TRANSFER IN - CAPITAL RESERVES $ - $ - $ - $ 17,500 TOTAL REVENUES $ - $ - $ - $ 117,500 EXPENDITURES 308 - 549.3100 308 - 549.3102 308 - 549.4909 308 - 549.4609 308 - 549.6300 F/V ENDING FIND BALANCE 331 -3900 Landscape Grant US98/US441 Maintenance cost is not included which is summarized as $21.100 Final Public Hearing Page 31 PROFESSIONAL SERVICES $ - $ - $ - $ 6,000 ADMINISTRATIVE. SERVICES $ - $ - $ - $ 500 MISCELLANEOUS $ - $ - $ - $ - REPAIR & MAINTENCE $ - $ - $ 103,000 STREET MEDIAN IMPROVEMENTS $ - $ - $ - $ 8,000 TOTAL EXPENSES $ - $ - $ 117,500 F/V ENDING FIND BALANCE 331 -3900 Landscape Grant US98/US441 Maintenance cost is not included which is summarized as $21.100 Final Public Hearing Page 31 City of Okeechobee Proposed CAPITAL PROJECTS IMPROT�KNX,b 14 Budget 2011/2012 AC TUALS 2012/2013 Budget 2012/2013 Estimate 2013/2014 Proposing F/Y BEGINNING FUND BALANCE $ 6,974,068 $ 6,734,208 $ 6,743,508 $ 6,484,214 REVF.NU -ES 304 - 383.0000 304 - 364.1000 304 - 361.1000 304 - 369.1000 CAPITAL LEASE PROCEEDS $ - $ - $ - $ - DISPOSITION OF FIXED ASSETS $ 327,400 $ 252,000 $ 285,600 $ 257,400 INTEREST EARNINGS $ 6,700 $ 5,500 $ 7,300 $ 5,500 MISCELLANEOUS $ - $ - $ - $ TOTAL REVENUES $ 334,100 $ 257,500 $ 292,900 $ 262.900 EXPENDITURES 304 -549 -3100 Professional Services $ $ 50,000 5,000 $ 25.000 304 -512 -6400 ADMINISTRATION CAPITAL. $ 500 $ 1,000 1,000 $ 1.000 304 -513 -6400 FINANCE CAPITAL $ 950 1,200 1,200 1,500 304 -519 -6400 GENERAL SERVICES CAPITAL. $ 3,650 $ 11,000 $ 25,766 $ 38,500 304 -521 -6400 LAW ENFORCEMENT C'APITAI. $ 49,972 $ 50,272 $ 18,626 $ 24,100 304 - 522.6400 CAPITAL VEHICLE PURCHASE $ 389,467 $ 361,970 $ 364,295 $ 357,500 304 -522 -6400 FIRE PROTECTION CAPITAL $ 15,160 $ 24,632 7,816 $ 14,750 304 -541 -6400 PUBLIC WORKS CAPITAL $ 11,901 $ 9,021 304 -549 -6401 PARKS CAPITAL. IMPROVEMENT $ 50,000 304 - 584.6400 FUTURE CAPITAL. PROJECTS $ $ 304 -2512 -6400 CLERK CAPITAL. $ 6,000 $ 6,000 5,000 304 - 584.7100 PRINCIPAL $ 41,919 304 - 584.7200 INTEREST $ 2,467 TOTAL EXPENDITURES $ 521,986 $ 509,095 $ 429,703 $ 517,350 TRANSFER IN FROM GENERAL FUND 1 •RANSI°ER IN FROM FORMER CAPITAL PROJ Budget to Budget $ $ 5,400 $ $ $ 5,400 $ (25,000) $ 300 $ 27,500 $ (26,172) $ (4,470) $ (9,882) $ (9,021) $ 50,000 $ $ 5.000 $ 8,255 TOTAL TRANSFER IN 'TRANSFER OUT TO Other Funds $ - $ - $ - $ 42,500 TRANSFER OUT TO GENERAL. FUND $ 42,674 $ 568,580 $ 122,491 $ 681,570 TOTAL TRANSFER OUT $ 42,674 $ 568,580 $ 122,491 $ 724,070 ASSIGNED FUND I3ALANCI. (FUTURE CAPITAL PROJECTS) $ 300,000 $ 300,000 $ 300,000 TOTALASSIGNED FUND BALANCE $ - $ 300,000 $ 300,000 $ 300,000 $ F/Y ENDING FUND BALANCE S 6,743,508 I S 5,914,033 $ 6,484,214 $ 5,505,694 Final Public Hearing Page 32 City of Okeechobee Proposed 2013 -2014 Budget Proposed Fiscal Year (2013 512 Admin. -3100 512 Administration 513 519 519 General Services Finance Department General Services 521 Police Department 522 Police Department 522 Fire Department 549 Parks CAPITAL Improvement 2512 Clerk Office - 2014) Detail Professional Services -if needed Laser /Scanner /Printer Server for routing Website emails for all City Dept.; Photo quality Printer, $600 Office remodel, carpeting, blinds, counter, desk, chairs; Kitchen paint, floor, Chamber Windows, $20,500 1 Radars a $2000 ea; 3 Computers a, $1416 ea; Office Equip- $1500; Windows $20,500 13 Replacement Vehicles a, $24500; Equip for new vehicles 13 (4) $3000 Bunker Gear (5 sets) $2075 ea; SCBA Bottles (5) $850 ea (required replacement program) Parks and Streetscape Improvements $2000 Shredder; $3000 lateral file cabinet's Final Public Hearing Page 33 City of Okeechobee Proposed 2013 -2014 Budget CAPITAL PROJECT - IMPACT FEES 2011/2012 Actual 2012/2013 Budget 2012/2013 Estimate 2013/2014 Proposed F/Y BEGINNING FUND BALANCE $ 113,267 $ 76,750 $ 63,514 $ 46,564 REVENUES 303 - 341.0000 303 - 361.1000 303 -324.1 101 303-324.1102 303 - 324.1201 303 - 324.1202 303-324.3100 303 - 324.1202 ADMINISTRATION COST FOR IMPACT FEES 8 1,431 $ 500 $ - $ 500 INTEREST EARNINGS $ 18,750 $ 18,750 $ - $ - LAW ENT. RESD IMPACT FEES FIRE PROTECTION RESD. IMPACT FEES $ - $ 16,950 $ 16,950 $ 16,950 LAW ENT. COMM. IMPACT FEES FIRE PROTECTION COM.. IMPACT FEES $ 49,753 $ 66,703 $ 16,950 $ 16,950 TRANSPORTATION RESD. IMPACT FEES 'TRANSPORTATION COM. IMPACT FEES TOTAL REVENUE $ 1,431 $ 500 $ - $ 500 EXPENDITURES 303 -0521 -6400 303 - 0522 -6400 303 -0541 -6300 303 - 0541 -6400 303 - 0549 -6400 1303- 381.000 LAW ENF. CAPITAL PROJECTS $ 31,003 $ 31,003 $ - $ - FIRE PROTECTION CAPITAL PROJECTS $ 18,750 $ 18,750 $ - $ - TRANSPORTATION IMPROVEMENTS TRANSPORTATION CAPITAL PROJECTS $ - $ 16,950 $ 16,950 $ 16,950 OTHER CAPITAL IMPROVEMENT PROJECT /COST TOTAL EXPENDITURES $ 49,753 $ 66,703 $ 16,950 $ 16,950 TRANSFER OUT TO GENERAL FUND $ 1,431 $ 500 $ - $ 500 TOTAI, TRANSFER OUT $ 1,431 $ 500 $ - $ 500 TRANSFER OUT TO CAPITAL PROJ FUND TOTAL "TRANSFER IN DUE TO CAPITAL ASSETS DUE FROM IMPACT FEE REVENUES FA ENDING FUND BALANCE $ 63,514 1 $ 10,047 1 $ 46,564 1 $ 29,614 Prior Fiscal year (2012 -2013) detail 521 77725 x.35 522 $35910 x .30 Radios 541 Sidewalks 65% of project x .50 (50,000x.35 x .50) Final Public Hearing Page 34 City of Okeechobee Proposed 2013 -2014 Budget LAW ENFORCEMENT SPECIAL FUND RECAPITULATION - REVENUE & EXPENSES IF /V BEGINNING FUND BALANCE 2011/2012 Actual 2012/2013 Budget 2012/2013 Estimate 2013/2014 PROPOSED $ 2,608 2,608 3,609 $ 4,063 REVENUES 601-351.1000 601 - 351.2000 601- 354.1000 601- 361.1000 601 - 369 -1000 EXPENDITURES 601- 529.4909 601- 549.6300 601- 549.6400 LAW ENF. SPECIAL MISC. 1,000 0 $ 685 $ 500 LAW ENE. SPECIAL IMPROVE 0 0 $ I CONFISCATED PROPERTY LAW ENF. SPECIAL. MACH & EQUIP TO'FA1. EXPENDITURES' 1,000 0 686 3,108 FINES I.00AI.ORD. VIOL. $ 2,000 $ 500 $ 1,140 $ 500 INTEREST EARNINGS $ 1 MISCELLANEOUS TOTAL REVENUE $ 2,001 $ 500 $ 1,140 $ 500 EXPENDITURES 601- 529.4909 601- 549.6300 601- 549.6400 LAW ENF. SPECIAL MISC. 1,000 0 $ 685 $ 500 LAW ENE. SPECIAL IMPROVE 0 0 $ I $ 2,608 LAW ENF. SPECIAL. MACH & EQUIP TO'FA1. EXPENDITURES' 1,000 0 686 3,108 F/V ENDING BALANCES $ 3.609 I $ 3,108 I $ 4,063 I $ 1,455 354.1000 ices associated with vehicle impoundment Final Public Hearing Page 35