HomeMy WebLinkAboutAgenda Item Summary FormIli OF
*,e,,.„A AGENDA ITEM SUMMARY FORM
,e„ Q File ID: #12393
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Date: 08/01/2022 Requesting Department: Office of
Management and Budget
Commission Meeting Date: 09/10/2022 Sponsored By:
District Impacted: All
Type: Resolution
Subject: Approve Tentative Budget FY '23 - City of Miami
Purpose of Item:
FY 2022-23 budget appropriations resolution providing the appropriations for the
General Fund, Special Revenue Funds, Debt Service Funds, and Internal Service Fund.
Background of Item:
N/A
Budget Impact Analysis
Item is an Expenditure
Item is Related to Revenue
Item is NOT funded by Bonds
Total Fiscal Impact:
$1,512,019,000
General Account No: Various
Special Revenue Account No: Various
CIP Project No: N/A
Office of Management and Budget Marie Gouin
City Manager's Office
Larry M. Spring
City Manager's Office
Arthur Noriega V
Legislative Division
Valentin J Alvarez
Office of the City Attorney
Richard Appleton
Office of the City Attorney
Victoria Mendez
City Commission
Nicole Ewan
Office of the Mayor
Mayor's Office
Office of the City Clerk
City Clerk's Office
Office of the City Clerk
City Clerk's Office
Reviewed By
Department Head Review
Completed
08/05/2022 2:09 PM
Assistant City Manager Review
Completed
08/09/2022 9:11 AM
City Manager Review
Completed
08/12/2022 10:51 AM
Legislative Division Review
Completed
08/29/2022 3:14 PM
ACA Review
Completed
08/29/2022 5:19 PM
Approved Form and Correctness
Completed
08/29/2022 8:28 PM
Meeting
Completed
09/10/2022 10:00 AM
Signed by the Mayor
Completed
09/12/2022 1:39 PM
Signed and Attested by the City Clerk Completed
09/12/2022 1:41 PM
Rendered
Completed
09/12/2022 1:42 PM
-,IV ov .
City of Miami
*' ISS°°1 il°4I°
°°
Legislation
Resolution
Enactment Number: R-22-0322
File Number: 12393
City Hall
3500 Pan American Drive
Miami, FL 33133
www.miamigov.com
Final Action Date:9/10/2022
A RESOLUTION OF THE MIAMI CITY COMMISSION ADOPTING A TENTATIVE
BUDGET AND MAKING APPROPRIATIONS RELATING TO OPERATIONAL AND
BUDGETARY REQUIREMENTS FOR THE FISCAL YEAR BEGINNING OCTOBER 1,
2022 AND ENDING SEPTEMBER 30, 2023; RATIFYING, APPROVING, AND
CONFIRMING CERTAIN NECESSARY ACTIONS OF THE CITY MANAGER AND
DESIGNATED CITY OFFICIALS IN ORDER TO UPDATE THE RELEVANT
FINANCIAL CONTROLS, COMPLETED PROJECTS, PROJECT CLOSE-OUTS,
ACCOUNTING ENTRIES, AND COMPUTER SYSTEMS IN CONNECTION
THEREWITH AND FOR GRANTS IN PROGRESS; PROVIDING FOR AN EFFECTIVE
DATE.
WHEREAS, pursuant to Sections 200.065(2)(a)(4) and (2)(c), Florida Statutes, the City
Manager has prepared and submitted to the Miami City Commission ("City Commission") a
proposed budget of the expenditures and revenues of all City of Miami ("City") Departments,
Offices, and Boards for the Fiscal Year beginning October 1, 2022 and ending September 30,
2023 ("Fiscal Year 2022-23"); and
WHEREAS, a copy of the proposed budget has been posted on the City's website and
has been on file in the Office of the City Clerk since July 26, 2022, and is incorporated herein by
reference; and
WHEREAS, the General Fund Budget for Fiscal Year 2022-23 is $965,281,000 and the
total proposed budget for all non -capital funds is $1,512,019,000; and
WHEREAS, the City's proposed tentative general operating ad valorem millage rate is
7.5539; and
WHEREAS, the major source of revenue for the General Fund is derived from the
category identified as "Property Taxes" in the amount of $490,546,000; and
WHEREAS, this proposed budget recommends the transfer of $4.969 million from the
Transportation and Mass Transit CITT Capital Fund, award 1297, Transit Half -Cent Surtax,
project number 40-B70715E - Miami Trolley Prog-Trolley Acquisition, $3,700,000; project
number 40-1370246 - TPSS - Transit Professional, $469,000; and project number 40-1370245 -
TPSS — Transportation, $800,000, to the Transportation and Transit Special Revenue Fund
for the operation of the Trolley Program; and
WHEREAS, this proposed budget recommends the transfer of $10 million from the
Transportation Trust Fund to the Transportation and Transit Special Revenue Fund for the
operation of the Trolley Program; and
WHEREAS, pursuant to Section 35-253 of the Code of the City of Miami,
Florida, as amended ("City Code"), expenditures from the Transportation Trust Fund will
require authorization by a supermajority of the City Commission, ensuring the money
collected will be spent in the best interest of all the residents of and visitors to the City;
and
WHEREAS, the Office of Resilience and Sustainability, as described in Ordinance
No. 13792, has been funded; and
WHEREAS, it is in the best interests of the City to authorize the City Manager to make
any necessary changes to adjust, amend, and appropriate the City's Operating Budget, Five -
Year Financial Plan, Strategic Plan, and Multi -Year Capital Plan, all for the purposes set forth in
this Resolution; and
WHEREAS, it is in the best interests of the City to ratify, approve, and confirm certain
necessary actions of the City Manager and designated City Departments in order to update the
relevant financial controls, completed projects, project close-outs, accounting entries, and
computer systems in connection therewith and for grants in progress; and
WHEREAS, provisions have been duly made by the City Commission for Public Hearings
on the proposed budget before the City Commission as a Committee of the Whole and Public
Hearings thereon have been held as required pursuant to Section 200.065, Florida Statutes;
NOW, THEREFORE, BE IT RESOLVED BY THE COMMISSION OF THE CITY OF
MIAMI, FLORIDA:
Section 1. The recitals and findings contained in the Preamble to this Resolution are
adopted by reference and incorporated as if fully set forth in this Section.
Section 2. The City Manager has recommended a proposed budget, including the Five -
Year Financial Plan, for the City for Fiscal Year 2022-23.
Section 3. The proposed budget, as submitted to the City Commission on July 26, 2022,
is attached and incorporated herein by reference and is to become the tentative budget for the
City, as hereby adopted.
Section 4. The following appropriations are made for the municipal operations of the
General Fund for the Fiscal Year 2022-23:
GENERAL FUND APPROPRIATIONS
Departments, Boards and Offices:
GENERAL FUND
APPROPRIATIONS
Departments, Boards and Offices:
Mayor
$ 3,132,000
Commissioners
10,616,000
City Manager
6,236,000
Agenda Coordination
386,000
Independent Auditor General
1,776,000
City Attorney
12,279,000
City Clerk
2,152,000
Civil Service
622,000
Code Compliance
10,713,000
Communications
1,571,000
Equal Opportunity and Diversity Programs
619,000
Finance
12,358,000
Grants Administration
2,025,000
Human Resources
6,033,000
Innovation and Technology
15,710,000
Management and Budget
3,174,000
Procurement
3,451,000
Resilience and Sustainability
1,062,000
Human Services
6,624,000
Building
27,266,000
Planning
6,461,000
Zoning
5,849,000
Housing and Community Development
1,833,000
General Services Administration
3,925,000
Public Works
32,638,000
Solid Waste
30,595,000
Capital Improvements
44,373,000
Fire -Rescue
194,681,000
Police
321,929,000
Real Estate and Asset Management
17,480,000
Parks and Recreation
61,646,000
Risk Management
4,135,000
Non -Departmental Accounts (NDA)
45,663,000
Transfers - Out
66,268,000
Total
$ 965,281,000
Reserves Based on Financial Integrity Principles: (Included in General Fund — NDA)
Contingency Reserves
Undesignated Reserves
TOTAL RESERVES
5,000,000
$ 5,000,000
Section 5. The above appropriations for the municipal operations of the General Fund
are made based on the following sources of revenues for Fiscal Year 2022-23:
GENERALFUND
REVENUES
Property Taxes
$ 490,546,000
Franchise Fees and Other Taxes
124,167,000
Interest
2,537,000
Transfers -In
14, 898, 000
Fines and Forfeitures
6,208,000
Intergovernmental Revenues
96,229,000
Licenses and Permits
78,451,000
Other Revenues (Inflows)
25,583,000
Charges for Services
126,662,000
TOTAL GENERAL FUND
$ 965,281,000
Section 6. The following appropriations are made for the municipal operations of Debt
Service Funds for Fiscal Year 2022-23:
DEBT SERVICE FUNDS
General Obligation Bonds
Special Obligation Bonds
TOTAL DEBT SERVICE FUNDS
APPROPRIATONS
$ 22,669,000
42, 842, 000
$ 65, 511, 000
Section 7. The above appropriations for the municipal operations of Debt Service Funds
are made based on the following sources of revenues for Fiscal Year 2022-23:
Section 8. The following appropriations are made for the municipal operations of Special
Revenue Funds for Fiscal Year 2022-23:
DEBT SERVICE FUNDS REVENUES
Property Taxes $ 22,669,000
Transfers -In and Other Revenues 42,842,000
TOTAL DEBT SERVICE FUNDS $ 65,511,000
SPECIAL REVENUE FUNDS
APPROPRIATIONS
General Special Revenues $
4,330,000
Sport Facilities and Activities
13,000
Planning Services
20,444,000
Planning and Zoning Tree Trust Fund
6,070,000
Public Art Fund
2,487,000
Historic Preservation Trust Fund
278,000
Fire Rescue Services
7,179,000
UASI-Fire Rescue
40,144,000
Parks and Recreation Services
761,000
Police Services
16,059,000
Law Enforcement Trust Fund
1,377,000
Public Works Services
7,922,000
Solid Waste Recycling Trust
163,000
City Clerk Services
1,894,000
Community and Economic Development
87,310,000
Homeless Program
2,407,000
Human Services
475,000
Bayfront/Riverfront Land Acquisition Rouse Trust
1,961,000
Miami Ballpark Parking Facilities
12,649,000
Departmental Improvement Initiatives
15,243,000
Transportation and Transit
19,500,000
Emergency Funds
10,950,000
American Rescue Plan Act
116,721,000
TOTAL SPECIAL REVENUE FUNDS $
376,337,000
Section 9. The above appropriations for the municipal operations of Special Revenue
Funds are made based on the following sources of revenues for Fiscal Year 2022-23:
SPECIAL REVENUE FUNDS REVENUES
All Sources
376.337.000
TOTAL SPECIAL REVENUE FUNDS $ 376,337,000
Section 10. The following appropriations are made for the municipal operations of
Internal Service Funds for Fiscal Year 2022-23:
INTERNAL SERVICE FUND APPROPRIATIONS
Life and Health Insurance 52,387,000
Workers' Compensation 20,073,000
Others 32,430,000
TOTAL INTERNAL SERVICE FUND $ 104,890,000
Section 11. The above appropriations for the municipal operations of Internal Service
Funds are made based on the following sources of revenues for Fiscal Year 2022-23:
INTERNAL SERVICE FUND REVENUES
All Sources
TOTAL INTERNAL SERVICE FUND
$ 104,890,000
$ 104,890,000
Section 12. This Resolution is a resolution of precedent and all other resolutions in
conflict with it are held null and void insofar as they pertain to these appropriations; however, no
provision contained in this Resolution shall be construed to violate the Anti -Deficiency Act, as set
forth in Sections 18-500 through Sections 18-503 of the City Code. The appropriations are the
anticipated expenditure requirements for the City, but are not mandatory should efficient
administration of City Departments and Boards or altered economic conditions indicate that a
curtailment in certain expenditures is necessary or desirable for the general welfare of the City.
The City Manager is specifically authorized' to create awards and to transfer funds between
accounts and awards, and to withhold any of these appropriated funds from encumbrance or
expenditure should such action appear advantageous to the economic and efficient operation of
the City. The City Manager is also authorized' to transfer any excess unrestricted moneys from
other funds to the General Fund provided that those are appropriated moneys which are no
longer needed to implement the original purpose of the appropriation, which are legally available
at the time of such transfer, and whose expenditure is not limited to use for any other specified
purpose.
Section 13. The City Manager is authorized' to make any necessary changes to adjust,
amend and appropriate the City Operating Budget, Five Year Financial Plan, Strategic Plan, and
the Multi -Year Capital Plan, with transfers in and/or out, as necessary and applicable, of legally
available funds, and to designate projects, services, components, values, amounts, and uses, as
necessary and applicable, for purposes set forth in this Resolution.
Section 14. All departments and the number of employees designated therein provided
for in this budget either by position summary or by the organizational chart are deemed approved
by the City Commission. Any permanent change regarding same shall require City Commission
approval.
Section 15. The City Manager is authorized' to administer the executive pay plan and
benefit package, to disburse the funds appropriated herein for said purpose in a manner he or
she deems appropriate. The City Manager is also authorized' to administer and disburse the
City Commission benefit package. With the exception of those positions in which the salary is
established by City Commission action, the City Manager is further authorized' to establish the
salaries of those employees in executive and staff positions in accordance with the executive and
staff pay plan. These employees may receive any salary increases given in Section 16.
Section 16. The City Manager is authorized' to disburse any funds that may be
designated by the City Commission as cost -of -living or other pay adjustments to Civil Service,
executive and staff employees as may be approved by the City Manager.
Section 17. Nothing contained in this Resolution shall be construed as to prohibit or
prevent the City Manager, the administrative head of the City, who is responsible for the efficient
administration of all Departments, from exercising the power granted to and imposed upon him or
her in the Charter of the City of Miami ("Charter") to fix, adjust, raise, or lower salaries, and to
create, abolish, fill, or hold vacant, temporary or permanent positions whenever it has been
determined by the City Manager to be in the best interest of efficient and economical
administration of the City and all its Departments.2 The authority contained in this Section shall
also be applicable whenever the City Manager shall cause a Department to reorganize itself to
perform its services more efficiently; such reorganization may include reduction of budgeted
positions, reclassification of positions, and alteration of the number of budgeted positions in any
given classification.'
Section 18. The transfer of funds between the detailed accounts comprising any
separate amount appropriated by the above sections hereof is approved and authorized when
such transfer shall have been made at the request of the City Manager and when such transfer
shall have been made of any part of an unencumbered balance of an appropriation to or for a
purpose or object for which the appropriation for the herein fiscal year has proved insufficient.
Section 19. The transfer of funds between the detailed accounts comprising any
separate amount appropriated by the above sections hereof is approved and authorized when
such transfer of funds is made at the request of the City Manager and when such transfer is to be
made between the detailed accounts appropriated to the same office, department, or division.
Section 20. To effect salary adjustments, the City Manager is further authorized' to make
departmental and other transfers from any reserve accounts established in the General Fund,
and is authorized' to approve transfers for any unforeseen requirements of all appropriated funds
as may be required so long as such transfer is consistent with the provisions contained in
Chapter 18, Article IX of the City Code.
Section 21. To facilitate effective budgetary control and sound fiscal management, the
City Manager is further authorized' to transfer funds from departmental budget reserve accounts
to the Emergency Account of Non -Departmental Accounts to other Funds, and to departmental
budget reserve accounts from the Emergency Account of Non -Departmental Accounts to other
Funds.
Section 22. The Emergency Account is declared to be appropriated to meet emergency
expenses and is subject to expenditure by the City Manager for any emergency purpose.
Section 23. Except as herein provided, transfers between items appropriated shall be
authorized by resolution amendatory hereto, except those transfers from the Non -Departmental
Accounts may be made by resolution.
1 The herein authorization is further subject to compliance with all legal requirements that may be
imposed, including but not limited to, those prescribed by applicable City Charter and City Code
provisions.
2 The provisions of this Section 17 are subject to the limitations and requirements set forth in City
Commission Resolution No. 22-0230.
Section 24. The City Manager is authorized' to invite or advertise for bids for the
purchase of any material, equipment, physical improvement, or service provided by the
aforementioned appropriations or which may be provided for in accordance with the authority of
Chapter 18 of the City Code, for which formal bidding is required, such bids to be returnable to
the City Commission or City Manager in accordance with Charter or City Code provisions.
Section 25. Further, expenditure of the herein appropriated funds is authorized' in the
procurement of goods and services by award or contract for the same by the City Commission
following the use, if applicable, of competitive negotiations unless the award of such contract by
the City Manager is expressly allowed under City Code provisions.
Section 26. Certain necessary actions by the City Manager and the designated City
Departments in order to update the relevant financial controls, completed projects, project close-
outs, accounting entries, and computer systems in connection therewith and for grants in
progress, are hereby ratified, approved, and confirmed.
Section 27. The City Manager is authorized' to negotiate and execute any and all
agreements necessary, all in forms acceptable to the City Attorney, in order to accomplish any
of the appropriations and allocations stated herein
Section 28. This Resolution shall become effective immediately upon its adoption and
signature of the Mayor.3
APPROVED AS TO FORM AND CORRECTNESS:
1
i ria i "ndez, Cify Nttor iey 8/29/2022
3 If the Mayor does not sign this Resolution, it shall become effective at the end of ten (10) calendar days
from the date it was passed and adopted. If the Mayor vetoes this Resolution, it shall become effective
immediately upon override of the veto by the City Commission.