HomeMy WebLinkAboutExhibitCommunity Redevelopment Agency -
Consolidated Budget
Fiscal Year 2007
SEOPW CRA FY'07 BUDGET
CONSOLIDATED CRA (SEOPW,OMNI AND GENERAL
OPERATING) BUDGETS
Special Revenue
SEOPW
FY 2007
Special Revenue
OMNI
FY 2007
General
OPERATING
FY 2007
Consolidated
FY 2007
r
Revenues
01 .TAXES
100 CURRENT AD VALOREM TAXES
001 TAXES REAL CURRENT - CITY OF MIAMI
2,995,835
6,221,593
9,217,428
03 INTERGOVERNMENTAL REVENUE
377 ECONOMIC ENVIRONMENT
074 STATE OF FLORIDA REVENUE
-
310 CONTR FROM OTHER GOVTS-COUNTY
2,485,388
5,443,893
7,929,281
383 OTHER PAYMENTS FROM LOCAL UNIT
235 OFF-STREET PARKING
-
04 CHARGES FOR SERVICES
438 HOUSING
264 PROPERTY SALE
06 MISCELLANEOUS REVENUE
601 INTEREST INCLUDING PROFIT ON I
•
094 INTEREST ON INVESTMENT
10,000
20,000
30,000
379 INTEREST INCOME -OTHER
-
749 GAIN/LOSS INVESTMENTS
1,500
1,500
3,000
607 RENT AND ROYALTIES
070 RENTAL PROPERTIES
-
08 NON -REVENUES
801 INTERFUND TRANSFER
140 TRANSFER FROM COMMUNITY DEVELO
244 CARRYOVER FUND BALANCE
6,800,000
13,349,480
419,000
20,568,480
807 OTHER NON -REVENUES
990 OTHER NON -OPERATING
2,100,000
2,100,000
905 MAJOR DESC. NOT FOUND
193 CONTRIBUTION FROM GN.FD.
-
09 INTERNAL SERVICE FUNDS
905 CONTRIBUTION FROM OTHER FUNDS
22,561
22,561
356 CONTRIBUTION FROM TRUST AND AG
1,400,000
**
TOTAL REVENUES
14,392,723..
25,036,466
1,841,561
39,870,750
Expenditures
10 PERSONNEL SERVICES
100 SALARIES & WAGES -FIXED
001 SALARIES - CLASS
48,150
48,150
006 EARNED TIME OFF
117,700
117,700
010 SALARIES - UNCLASSIFIED
413,020
413,020
010 SALARIES - UNCLASSIFIED
449,400
449,400
013 SALARIES TEMPORARY
96,835
96,835
200 FRINGE BENEFITS -FIXED
100 SOCIAL SECURITY CONTRIB
19,260
19,260
080 EXPENSE ALLOWANCE
12,840
12,840
083 CAR ALLOWANCE
64,200
64,200
110 RETIREMENT CONTRIB.
53,500
53,500
130 GROUP INSURANCE CONTRIB.
48,150
48,150
1
Community Redevelopment Agency -
Consolldated Budget
Fiscal Year 2007
CONSOLIDATED CRA (SEOPW,OMNI AND GENERAL
OPERATING) BUDGETS
Special Revenue
SEOPW
FY 2007
Special Revenue
OMNI
FY 2007
General
OPERATING
FY 2007
Consolidated
FY 2007
150 WORKER'S COMPENSATION
160 UNEMPLOYMENT COMPENSATION
-
170 SEVERANCE PAY
180 TUITION REIMBURSEMENT
5,350
5,350
30 OPERATING EXPENSES
300 OPERATING EXPENSES -FIXED
280 PROFESSIONAL SERVICES - ACCTG
45,000
25,000
70,000
602 INTEREST EXPENSE
-
280 PROFESSIONAL SERVICES - ACCTG
287 ADVERTISING
64,200
64,200
410 TRAVEL AND PER DIEM - TRAINING
420 TRAVEL AND PER DIEM - OTHER
6,420
6,420
470 ENTERTAINMENT
495 PARKING EXPENSE
533 POSTAGE
6,070
6,070
540 UTILITY SERVICES
30,074
30,074
560 UTILITY SERVICES - WATER
610 RENT OF EQUIPMENT - OUTSIDE
48,150
48,150
620 RENT BUILDINGS
171,615
171,615
635 RENT OTHERS
710 FOOD
14,552
14,552
715 MOTOR FUEL
856
856
400 OPERATING EXPENSES -VARIABLE
220 PROFESSIONAL SERVICES - APPRAI
-
250 PROFESSIONAL SERVICES - LEGAL
272,686
48,675
321,361
270 PROFESSIONAL SERVICES - OTHER
722,938
461,237
1,184,175
340 OTHER CONTRACTUAL SERVICES - 0
367,779
14,001
381,780
230 PROFESSIONAL SERVICES - ARCHIT
250 PROFESSIONAL SERVICES - LEGAL
289 SPECIAL SERVICES - MISCELLANEO
-
330 TAXES
340 OTHER CONTRACTUAL SERVICES - O
-
510 COMMUNICATIONS SERV. TELEPH. 0
10,700
10,700
534 DELIVERY SERVICES
1,605
1,605
650 INSURANCE - LIABILITY
16,050
16,050
670 REPAIRIMAINTENANCE - OUTSIDE
2,140
2,140
680 PRINTING/BINDING - OUTSIDE
690 PROMOTIONAL ACTIVITIES
700 OFFICE SUPPLIES
6,420
6,420
722 MISCELLANEOUS SUPPLIES
1,070
1,070
760 BOOKS PUBLICATIONS MEMBERSHIPS
1,284
1,284
60 CAPITAL OUTLAY
500 CAPITAL OUTLAY -VARIABLE
810 LAND
860 CONSTRUCTION IN PROGRESS
6,037,665
12,966,108
19,003,773
861 CONSTRUCTION IN PROGRESS
-
810 LAND
840 EQUIPMENT - NEW
1,605
1,605
841 OFFICE FURNITURE - NEW
-
843 EQUIPMENT LEASE -PURCHASED
2
Community Redevelopment Agency -
Consolidated Budget
Fiscal Year 2007
CONSOLIDATED CRA (SEOPW,OMNI AND GENERAL
OPERATING) BUDGETS
Special Revenue
SEOPW
FY 2007
Special Revenue
OMNI
FY 2007
General
OPERATING
FY 2007
Consolidated
FY 2007
860 CONSTRUCTION IN PROGRESS
880 CAPITAL LEASES
80 GRANTS AND AIDS
600 GRANTS IN AID
940 OTHER GRANTS AND AIDS
2,633,935
5,292,625
7,926,560
90 NON -OPERATING
600 TRANSFERS TO OTHER FUNDS
700 PRIOR YEAR'S APPROPRIATION
901 PERSONAL SERVICES
903 MATERIALS AND SUPPLIES
10,700
10,700
905 INTERGOVERNMENTAL CHARGES
1,430,000
1,430,000
951 CONTRIITRANSFER TO DEBT SERVIC
410,000
410,000
956 CONTRIBUTION TO SPECIAL REVENU
42,500
40,660
83,160
950 CONTRIBUTION TO GRAL FUND
700,000
700,000
**
960 CONTRIBUTION TO TRUST & AGENCY
996 BUDGET RESERVE
3,202,720
4,070,321
64,984
7,338,025
997 BUDGET RESERVE - LAND SALE
-
TOTAL EXPENDITURES
14,392,723
25,036,466
, 1,841,561
39,870,750
REVENUE LESS EXPENDITURES
-
- ,
-
-
NOTE: Interfund Transfers were not recognized either as additional revenue or
additional expense**
3
Community Redevelopment Agency - General Operating (SEOPW, OMNI and Midtown)
Fiscal Year 2007
SEOPW, OMNI AND MIDTOWN GENERAL OPERATING
FY 2005
Approved
Budget -
General
Operating
Fund
FY 2006
Approved
Budget -
General
Operating
Fund
FY 2007
Budget -
General
Operating Fund
Revenues
06 MISCELLANEOUS REVENUE
601 INTEREST INCLUDING. PROFIT ON I
094 INTEREST ON INVESTMENT
139 REIMB. PR. YR. EXPEND.
235 OFF STREET PARKING
8,000
244 CARRYOVER FUND BALANCE
500,000
419,000
749 GAIN/LOSS INVESTMENTS
607 RENT AND ROYALTIES
070 RENTAL PROPERTIES
08 NON -REVENUES
801 INTERFUND TRANSFER
140 TRANSFER FROM COMMUNITY DEVELO
736 CONTR. FRM. OFFSTR. PARKING
905 MAJOR DESC. NOT FOUND
193 CONTRIBUTION FROM GN.FD.
659,388
09 INTERNAL SERVICE FUNDS
905 CONTRIBUTION FROM OTHER FUNDS
22,561
356 CONTRIBUTION FROM TRUST AND AG
1,653,614
1,196,514
1,400,000
TOTAL REVENUES
2,313,002
1,704,514
1,841,561
Expenditures
10 PERSONNEL SERVICES
100 SALARIES & WAGES -FIXED
001 SALARIES - CLASS. PERM. FT
147,000
45,000
48,150
006 EARNED TIME PAYOFF
96,000
110,000
117,700
010 SALARIES - UNCLASSIFIED
386,000
413,020
010 SALARIES - UNCLASSIFIED
407,000
420,000
449,400
013 SALARIES - TEMPORARY
90,500
90,500
96,835
200 FRINGE BENEFITS -FIXED
080 EXPENSE ALLOWANCE
18,000
18,000
19,260
083 CAR ALLOWANCE
12,000
12,000
12,840
100 SOCIAL SECURITY CONTRIB
85,000
60,000
64,200
110 RETIREMENT CONTRIB.
52,281
50,000
53,500
130 GROUP INSURANCE CONTRIB.
45,000
45,000
48,150
150 WORKER'S COMPENSATION
160 UNEMPLOYMENT COMPENSATION
6,300
170 SEVERANCE PAY
-
180 TUITION REIMBURSEMENT
25,000
5,000
5,350
30 OPERATING EXPENSES
300 OPERATING EXPENSES -FIXED
280 PROFESSIONAL SERVICES - ACCTG
287 ADVERTISING
30,000
60,000
64,200
410 TRAVEL AND PER DIEM - TRAINING
420 TRAVEL AND PER DIEM - OTHER
40,000
6,000
6,420
4
Community Redevelopment Agency - General Operating (SEOPW, OMNI and Midtown)
Fiscal Year 2007
SEOPW, OMNI AND MIDTOWN GENERAL OPERATING
FY 2005
Approved
Budget-
General
Operating
Fund
FY 2006
Approved
Budget -
General
Operating
Fund
FY 2007
Budget -
General
Operating Fund
470 ENTERTAINMENT
-
495 PARKING EXPENSE
-
533 POSTAGE
1,000
1,000
6,070
540 UTILITY SERVICES
14,000
28,107
30,074
560 UTILITY SERVICES - WATER
610 RENT OF EQUIPMENT - OUTSIDE
45,000
45,000
48,150
620 RENT BUILDINGS
160,388
160,388
171,615
635 RENT OTHERS
710 FOOD
13,600
13,600
14,552
715 MOTOR FUEL
800
800
856
400 OPERATING EXPENSES -VARIABLE
230 PROFESSIONAL SERVICES - ARCHIT
250 PROFESSIONAL SERVICES - LEGAL
270 PROFESSIONAL SERVICES - OTHER
231,000
289 SPECIAL SERVICES - MISCELLANEO
38,000
330 TAXES
340 OTHER CONTRACTUAL SERVICES - 0
13,085
13,085
14,001
510 COMMUNICATIONS SERV. TELEPH. 0
10,770
10,000
10,700
534 DELIVERY SERVICES
2,000
1,500
1,605
650 INSURANCE - LIABILITY
40,000
15,000
16,050
670 REPAIR/MAINTENANCE - OUTSIDE
5,000
2,000
2,140
680 PRINTING/BINDING - OUTSIDE
-
690 PROMOTIONAL ACTIVITIES
700 OFFICE SUPPLIES
6,000
6,000
6,420
722 MISCELLANEOUS SUPPLIES
2,000
1,000
1,070
760 BOOKS PUBLICATIONS MEMBERSHIPS
7,000
1,200
1,284
60 CAPITAL OUTLAY
500 CAPITAL OUTLAY -VARIABLE
810 LAND
840 EQUIPMENT - NEW
1,500
1,605
841 OFFICE FURNITURE - NEW
6,000
843 EQUIPMENT LEASE -PURCHASED
860 CONSTRUCTION IN PROGRESS
880 CAPITAL LEASES
80 GRANTS AND AIDS
600 GRANTS IN AID
940 OTHER GRANTS AND AIDS
946 REHABILITATION GRANT AWARDS
90 NON -OPERATING
600 TRANSFERS TO OTHER FUNDS
950 CONTRIBUTION TO GRAL FUND
956 CONTRIBUTION TO SPECIAL REVENU
38,000
40,660
700 PRIOR YEAR'S APPROPRIATION
901 PERSONAL SERVICES
903 MATERIALS AND SUPPLIES
35,000
10,000
10,700
996 BUDGET RESERVE
628,278
48,834
64,984
TOTAL EXPENDITURES
2,313,002
1,704,514
1,841,561
REVENUE LESS EXPENDITURES
-
-
-
5
Community Redevelopment Agency
South East Overtown Park West Tax increment Fund
Fiscal Year 2007
SEOPW SPECIAL REVENUE FUND BUDGET
FY 2005
Approved
Budget-
SEOPW
Special
Revenue
FY 2006
Approved
Budget-
SEOPW
Special
Revenue
FY 2007
Budget-
SEOPW
Special
Revenue
Revenues
01 TAXES
100 CURRENT AD VALOREM TAXES
001 TAXES REAL CURRENT - CITY OF MIAMI
1,627,940
2,495,666
2,995,835
03 INTERGOVERNMENTAL REVENUE
377 ECONOMIC ENVIRONMENT
074 STATE OF FLORIDA REVENUE
310 CONTR FROM OTHER GOVTS-COUNTY
1,196,954
1,714,153
2,485,388
383 OTHER PAYMENTS FROM LOCAL UNIT
235 OFF-STREET PARKING
8,000
04 CHARGES FOR SERVICES
438 HOUSING
264 PROPERTY SALE
10,462,460
06 MISCELLANEOUS REVENUE
601 INTEREST INCLUDING PROFIT ON I
094 INTEREST ON INVESTMENT
25,000
10,000
10,000
379 INTEREST INCOME -OTHER
749 GAIN/LOSS INVESTMENTS
1,500
1,500
1,500
607 RENT AND ROYALTIES
070 RENTAL PROPERTIES
3,000
08 NON -REVENUES
801 INTERFUND TRANSFER
140 TRANSFER FROM COMMUNITY DEVELO
244 CARRYOVER FUND BALANCE
2,500,000
4,100,000
6,800,000
807 OTHER NON -REVENUES
990 OTHER NON -OPERATING
2,000
2,100,000
TOTAL REVENUES
15,826,854
8,321,319
14,392,723
Expenditures
10 PERSONNEL SERVICES
100 SALARIES & WAGES -FIXED
010 SALARIES - UNCLASSIFIED
200 FRINGE BENEFITS -FIXED
100 SOCIAL SECURITY CONTRIB
30 OPERATING EXPENSES
300 OPERATING EXPENSES -FIXED
280 PROFESSIONAL SERVICES - ACCT'G
25,000
50,000
45,000
602 INTEREST EXPENSE
60,000
400 OPERATING EXPENSES -VARIABLE
220 PROFESSIONAL SERVICES - APPRAI
40,000
25,000
250 PROFESSIONAL SERVICES - LEGAL
150,002
320,000
272,686
270 PROFESSIONAL SERVICES - OTHER
731,675
401,927
722,938
271 PROFESSIONAL SERVICES - OTHER CDBG
340 OTHER CONTRACTUAL SERVICES - O
69,840
288,548
367,779
6
Community Redevelopment Agency
South East Overtown Park West Tax Increment Fund
Fiscal Year 2007
SEOPW SPECIAL REVENUE FUND BUDGET
FY 2005
Approved
Budget-
5EOPW
Special
Revenue
FY 2006
Approved
Budget-
SEOPW
Special
Revenue
FY 2007
Budget-
SEOPW
Special
Revenue
760 BOOKS PUBLICATIONS MEMBERSHIPS
60 CAPITAL OUTLAY
500 CAPITAL OUTLAY -VARIABLE
810 LAND
860 CONSTRUCTION IN PROGRESS
2,239,000
4,948,693
6,037,665
861 CONTSTRUCTION IN PROGRSS
873,427
862 CONSTRUCTION IN PROGRESS
863 CONSTRUCTION IN PROGRESS
80 GRANTS AND AIDS
600 GRANTS IN AID
940 OTHER GRANTS AND AIDS
303,163
1,104,595
2,633,935
90 NON -OPERATING
600 TRANSFERS TO OTHER FUNDS
951 CONTRI/TRANSFER TO DEBT SERVIC
410,000
410,000
956 CONTRIBUTION TO SPECIAL REVENU
950 CONTRIBUTION TO GRAL FUND
513,195
196,514
700,000
960 CONTRIBUTION TO TRUST & AGENCY
996 BUDGET RESERVE
359,092
576,042
3,202,720
997 BUDGET RESERVE - LAND SALE
10,462,460
TOTAL EXPENDITURES
15,826,854
8,321,319
14,392,723
REVENUE LESS EXPENDITURES
-
-
-
Budget Reserve Allocation
- Available TIF Funds
- Available from Bayview Tower Land Sale
- Available from Bayview Tower Land Sale -
Receivable to be collected in April 2007
- Available from JEJ Parking Lot (P-5) Mortgage Payoff
- Tranfer from Public Works - 9th Street Pedestrian
Mall
$ 515,976
505,000
2,100,000
41,744
40,000
$ 3,202,720
7
FY 2007 CAPITAL IMPROVEMENT PLAN - SEOPW
Southeast Overtown Park West - TIF funds
The proposed SEOPW 2007 Capital Improvement Plan consists of 11 projects with a total value of $6 million funded with SEOPW TIF.
The breakdown is as follows:
Project Name
1- Overtown 3rd Avenue Business Corridor Streetscape Project
Overtown 3rd Avenue Business Corridor Streetscape Project -
Additional Funds
2- Overtown Sidewalk Curb and Gutter Project
Overtown Sidewalk Curb and Gutter Project - Additional Funds
3- Ward Rooming House
Ward Rooming House - New Item Entitled Interior Build Out -
Additional Funds
4- Slain Police Officer Bust
5- FPL - 9th street Pedestrian Mall Extension
6- Jackson Soul Food
7- St Johns Projects
8- Lyric Plaza / 9th Street Mall Phase 4
9- Lyric Plaza
Lyric Plaza - Additional Funds
10- Grand Promenade Decorative Lighting Project
11- Greater Bethet AME Church - Emergency Roof Repairs
Contingency
Proposed Budget
Amount in FY 2007
750,000
1,000,000
850,000
250,000
40,088
200,000
6,250
344,917
791,588
112,852
239,175
1,000,000
200,000
100,000
100,000
52,795
$ 6,037,665
Appropriated
Budgeted prior to FY
FY 2007 2007 Resolution #
X
X
X
X
X
X
X
X
X
Southeast Overtown Park West - Restricted CIP monies
The CIP funding assigned to CRA in the amount of $2.7 million are contingent upon further approval from CIP
department. The $2.7 million are related to CRA bond proceeds allocated/assigned for the construction of a new CRA
office to be located within CRA boundaries.
The breakdown is as follows:
Proposed Budget
Project Name Amount in FY 2007
1- New CRA office
Contingency
FY 2007 GRANTS - SEOPW
CRA-R-05-0050
NIA
CRA-R-05-0051
NIA
SEOPW 04-33
NIA
SEOPW 01-107
SEOPW 01-45
SEOPW 03-100
CRA-R-05-0010
NIA
NIA
NIA
N/A
NIA
NIA
Appropriated
Budgeted prior to FY
FY 2007 2007 Resolution #
2,709,336 X
109,599 X
$ 2,818,935
The proposed SEOPW 2007 grant program consists of 15 projects with a total value of $2.6 million funded with SEOPW TIF.
The breakdown is as follows:
Grant Name
1- Camival Parade FY 2004
2- Overtown initiative Crime Reduction Iniattative
3- Camillus House
4- Poinciana Village Infrastructure Renovation Project
5- Greyhound Bus Terminal Fagade Enhancement Project
6- DMP Wraparound Building Re -hap Program
7- Overtown 3rd Avenue Business Corridor Small Business Grant
8- The Schomburg Exhibition - In motion the African'06
The Schomburg Exhibition '07
9- Smoke Detector Program
10- Automatic Electronic Defibrillator
11- TWILO FPL Vault
12- NMA Building Renovation Project
13- Business Grant Program
14- The Black Archives - Historic/Technical Services
15- Public/Private Infrastructure Development Grant Program
Contingency
Proposed Budget
Amount in FY 2007
25,000
40,560
50,000
110,000
90,000
109,375
130,000
4,000
50,000
15,000
50,000
60,000
50,000
500,000
100,000
950,000
300,000
$ 2,633,935
NIA
NIA
Appropriated
Budgeted prior to FY
FY 2007 2007 Resolution #
X CRA-R-04-1106
X CRA-R-05-0031
X CRA-R-05-0034
X CRA-R-05-0036
X CRA-R-05-0037
X CRA-R-05-0038
X CRA-R-05-0049
X CRA-R-05-0054
X NIA
X NIA
X NIA
X NIA
X NIA
X NIA
X NIA
X NIA
X NIA
8