HomeMy WebLinkAboutExhibitBayfront Park
MANAGEMENT TRUST
OPERATING & CAPITAL
IMPROVEMENT BUDGETS
FISCAL YEAR 2014/2015
BAYFRONT PARK MANAGEMENT TRUST
OPERATING BUDGET FOR FISCAL YEAR 2014/2015
Table of Contents
I. Trust Members
II. Letter of Introduction
III. Budget Summary
IV. Bayfront Park Operating Budget
V. Bayfront Park Capital Improvement Budget
VI. Revenues vs. Expenses & Organizational Chart
CHAIRPERSON
Commissioner Frank Carollo
TRUST MEMBERS
Marlene Avalo
Alex Cardenas
Pedro R. Diaz
Ralph Duharte
Jeanie Hernandez
Nathan Kurland
Marie Louissaint
Jesse Manzano
EXECUTIVE DIRECTOR
Timothy F. Selunand
I
MILDRED AND CLAUDE PEPPER
BAYFRONT PAR
MANAGEMENT TRUST
301 N. BISCAYNE BOULEVARD, MIAMI, FL 33132
TELEPHONE: (305)358-7550 FAX: (305) 358-1211
July 23, 2014
Honorable Mayor Regalado
and Members of the City Commission:
The Bayfront Park Management Trust (Trust) is pleased to submit its Fiscal Year 2014/2015
Operating and Capital Budgets for City Commission approval. The Trust unanimously approved
these budgets at a regularly scheduled meeting held on July 22, 2014, and we respectfully request that
you do the same.
The Miami City Commission created the Trust in 1987 to "direct, manage and maintain all aspects of
Bayfront Park for the purposes of ensuring maximum community utilization and enjoyment." City
Commission Resolution No. 94-204 added Bicentennial Park (today's Museum Park) to the Trust's
management portfolio in March of 1994 and the FEC deep water slip adjacent to Museum Park on
December 14, 2006. In addition to "ensuring maximum community utilization," the Trust's founding
legislation included a further directive: "The Trust shall, to the greatest extent it determines to be
feasible, implement the exercise of its powers in a manner which utilizes and encourages the fullest
and most active participation and cooperation of private enterprise," The Trust remains mindful of the
balance it must strike between managing public parks and encouraging private enterprise and has
developed a social entrepreneurial model to achieve that goal,
During Fiscal Years 2009 through 2013, the City of Miami's investment in Bayfront Park totaled
$585,000 while the Trust's gross revenue totaled $21,066,099. Those funds were used to operate and
maintain Trust managed facilities. During that same period the City realized $4,340,000 in savings by
not subsidizing the park's operation, which is and continues to be self sustaining. During those five
years, the Trust also paid $1,398,604 for fire services and $3,848,658 in police services, providing
thousands of hours of overtime pay for our first responders. An estimated $11,650,736 was generated
in parking revenue, translating to a $1,420,244 in parking surcharge to the City of Miami, The Trust's
success is the City's success. And, that success is a direct result of the social entrepreneurial model
that has guided our operation for the past ten years -- our mission is to create social value.
In the past five years the Trust has also demonstrated an ongoing commitment to facility
improvements by investing, on average, $750,000 annually in capital improvements. In FY 08/09 and
09/10 alone, the Trust's efforts resulted in an additional $3,5 million in improvements, represented by
$801,000 in Baywalk improvements and amphitheater renovations totaling $2.7 million. In FY
2012/2013 the Trust continued its efforts at upgrading Bayfront Park's physical plant. The Trust
partnered with the City's Capital Improvement Department to renovate the park's existing electrical
system, which included upgrades for earned income opportunities and increased efficiencies. These
efforts will continue into the future.
The fifty -foot Holiday Tree that brightens Bayfront Park from Thanksgiving through New Year's will
continue to serve as downtown's mid -winter beacon. During the holidays, the park is also the host site
for our Menorah Lighting, sponsored by the Shul of Downtown, and the Miami Outboard Motor
Club's Holiday Boat Parade.
Our free, thrice weekly yoga classes continue their popularity with over 113,000 residents and visitors
having participated in the classes since they began in September 2005. The classes have been featured
by NBC Nightly News with Brian Williams, The Wall Street Journal, Fox Sports Network, CNN,
Delta Sky Magazine, Celebrated Living (in flight magazine for American Airlines), Vues d'Ailleurs
(in flight magazine for French airline Corsairfly), and numerous local outlets. Five separate
sponsorship agreements helped the park offset the expense of this extremely popular and oft copied
program. In 2013, through various partnerships and permits, the Trust added free Capoeira classes, a
free boot camp program, a puppeteer in the park, and an expanded FIT 4 Mom program for pre and
post natal mothers. The Trust looks to add additional programming to all of its facilities in FY
2014/2015,
The newly renovated Museum Park opened to the public in June 14, 2014. This 21 acre facility, with
the longest continuous length of bay walk within the City of Miami, and two cultural institutions as
neighbors promises to bring renewed energy to the downtown waterfront. The Trust has prepared a
$1,000,000 budget to meet the needs of the restored facility. The single largest expenditure is for
security, with a $300,000 annual line item to provide appropriate security, twenty four hours per day,
seven days per week. The budget also contemplates the facility's maintenance needs using outside
contractors to handle the landscape maintenance in Museum Park. The Trust is optimistic that once
the opportunities presented by the park become realized, event promoters will recognize the park as an
attractive location to entertain their clients, and a revenue stream can be developed to help offset the
operational, maintenance and future capital costs of the facility.
The Trust continues to plan, promote and coordinate two of our community's largest celebrations, the
America's Birthday Bash on July 4th and the Bayfront Park New Year's Eve Celebration. The Trust
is committed to providing these free, community inclusive celebrations for Miami's residents and
visitors. Bayfront Park's New Year's Eve event attendance has been consistent and the estimated
attendance for the December 31, 2013, event was 80,000, The past July 4th celebration, America's
Birthday Bash, served as the host site for the Colombian Consulate's World Cup watch party and
attracted an attendance estimated at 70,000.
The Trust recognized the need to support activities outside the Bayfront and Museum Park boundaries
and to help where most needed. Throughout the year Bayfront staff lent their expertise to events held
around the city, from Coconut Grove to Little Haiti to City Hall. The Bayfront Park portable stage,
our festival on wheels, was used in every commission district at parks and community celebrations,
for events ranging from Viernes Culturales to the City's Summer Parks Program. Between July 2013
and 2014, the Bayfront Park portable stage was used 10 times. The Trust's Fitness Caravan, funded
by the Public Space Challenge and the Health Foundation of South Florida, traveled from Bayfront
Park to Little Havana and Little Haiti, providing 36 yoga classes, from April through July 2014, to
over 600 participants, and helping burn over 113,400 calories -- contributing to a healthier Miami.
Additionally in the past year the Trust:
• Hosted Ultra Music Festival in Bayfront Park, - widening the event's already enormous
economic impact for downtown Miami and surrounding areas,
• On June 14, 2014, the Trust coordinated the visit of the USCG Barque Eagle, as the opening
event at Museum Park, followed 22 day later by a visit of the ARC Gloria, the Colombian
Naval Training vessel. The visits of these triple -masted sailing vessels helped raise the profile
of Museum Park, the FEC Deep Water Slip and downtown Miami's waterfront,
• Continued with the diversification of events hosted — ranging from film shoots to the MIA Art
Fair, pop concerts, and community festivals,
B AY F R O N T PARK MANAGEMENT TRUST
301 North Biscayne Boulevard Miami, FL 33132 (305) 358-7550
• Continued to host some of the community's premier fundraising events such as Race for the
Cure, Light the Night Walk, and the Crohns & Colitis Foundation Walk,
• Hosted free, outdoor art exhibits by world renowned artists to coincide with Art basel 2013,
• Lent staff expertise to City departments and partner organizations through participation in
committees, workshops and focus groups to help improve our community,
• Continued care and maintenance of the statues and plaques throughout the park and at the
Torch of Friendship,
• The Bayfront Park Baywalk was designated by the East Coast Greenway Alliance as an
official segment of the East Coast Greenway, a developing trail system, spanning nearly 3,000
miles, linking all the major cities of the eastern seaboard,
• Continues to work with the community for alternative transportation opportunities with
Bayfront Park serving as a designated drop off/pick up location for the Miami Trolley, an
expanded Big Bus Tour operation, which includes boat tours and a water taxi operation.
The Bayfront Park Management Trust board of directors and staff intend to build on these past
accomplishments, pursuant to our mission of "ensuring maximum community utilization and
enjoyment." Thank you for allowing us the opportunity and the privilege to continue our efforts next
fiscal year, which will begin with your approval of the attached budget.
Respectfully,
imot r._ "mand
Executive Director
Enc.
Cc: file
B AY F R O N T PARK MANAGEMENT TRUST
301 North Biscayne Boulevard Miami, FL 33132 (305) 358-7550
REVENUES
GENERAL REVENUES
SPECIAL EVENTS & MARKETING REVENUES
MAINTENANCE REVENUES
RESERVE FUND TRANSFER
TOTAL REVENUES
EXPENSES
ADMINISTRATIVE EXPENSES
SPECIAL EVENTS & MARKETING EXPENSES
MAINTENANCE EXPENSES
SENIOR HOMESTEAD EXEMPTION RELIEF
DEPRECIATION EXPENSES
TOTAL EXPENSES
NET INCOME
BOARD DESIGNATED FUND FOR CAPITAL IMPROVEMENTS
TOTAL CAPITAL IMPROVEMENTS
TOTAL NET BUDGET
BOARD DESIGNATED RESERVE FUND
Projections based on actual and known expenses through May 31, 2014
BAYFRONT PARK MANAGEMENT TRUST
OPERATING & CAPITAL BUDGET SUMMARY
FISCAL YEAR 2014/2015
REQUESTED
BUDGET
FY 14115
$ 317,000
$ 3,578,000
$ 1,950,000
$ 5,845,000
$ 898,480
$ 2,310,500
$ 2,336,020
$ 300,000
S 5,845,000
$
$ 2,500,000
$ 2,500,000
$ 1,000,000
1
APPROVED PROJECTED* APPROVED AUDITED
BUDGET ACTUAL BUDGET ACTUAL
FY13114 FY13114 FY12113 FY12113
$ 317,000 $ 515,000 $ 282,000 $ 553,693
$ 1,893,000 $ 3,901,500 $ 1,237,000 $ 5,610,152
$ $ - $ - $ -
$ 2,560,000 $ 600,000 $ 871,000 $
$ 4,770,000 $ 5,016,500 $ 2,390,000 $ 6,163,845
$ 743,480 $ 675,200 $ 671,935 $ 605,701
$ 1,204,500 $ 2,359,050 $ 651,295 $ 3,533,644
$ 1,980,020 $ 1,140,250 $ 1,066,770 $ 1,109,670
$ 542,000 $ 542,000 $ - $ -
$ 300,000 $ 300,000 $ $ 297,101
$ 4,770,000 $ 5,016,500 $ 2,390,000 $ 5,546,115
$ $ $ $ 617,730
$ 3,000,000 $ $ 1,500,000
S 3,000,000 $ $ 1,500,000
REVENUES
GENERAL
101- BOAT DOCK INCOME
102 - CARRIAGE INCOME
103 - FILM AND VIDEO LOCATION RENTAL
104 - MISCELLANEOUS REVENUES
105 - CONCESSIONS
106 - MARQUEE REVENUES
107 - PARKING OPERATION INCOME
108 - INTEREST INCOME
109 - WAREHOUSE RENTAL INCOME
110 - MIAMI SPORTS & EXHIBITION AUTHORITY
111- LONG TERM AGREEMENT INCOME
112 - DONATIONS
TOTAL GENERAL REVENUES
BAYFRONT PARK MANAGEMENT TRUST
OPERATING BUDGET
FISCAL YEAR 2014/2015
Requested
Budget
FY 2014/15
$ 70,000
$ 17,000
$ 55,000
$ 55,000
$ 120,000
$ 317,000
Approved Projected Approved Audited
Budget Actual Budget Actual
FY 2013114 FY 2013/14 FY 2012113 FY 2012113
$ 70,000 $ 100,000 $ 70,000 $ 98,631
$ - $ - $ - $
$ 17,000 $ 10,000 $ 17,000 $ 8,500
$ 55,000 $ 100,000 $ 55,000 $ 75,721
$ 55,000 $ 100,000 $ 15,000 $ 91,407
$ - $ - $ - $ •
$ 120,000 $ 205,000 $ 120,000 $ 279,237
$ $ $ 5,000 $ 196
$ $ $ $
$ - $ $ $
$ $ $ - $
$ $ $ $
$ 317,000 $ 515,000 $ 282,000 $ 553,693
2
EXPENSES
ADMINISTRATIVE:
1101 - Executive Director
1102,1 Contract, Procurement & Agenda Officer
1103 - Business & Finance Director
1103.1 - Bookkeeper
1103.2 - HR & Office Coordinator
1104 - Administrative Assistant
1105 - Receptionist
1106 - Payrolling Costs
1107 - Health & Dental Insurance Contribution
1108 - Life Insurance & Disability Contribution
1109 - Executive Retirement Plan Contribution
1109.1 - Employees Retirement Plan
1110 - Master Planning Implementation Process
1110.1 - Grants Writing Service Fees
1111 • Misc. Expenses
1112 - Computer Supplies & Software
1113 - Courier
1114 - Equipment Purchases
1115 - Equipment Rental & Maintenance
1116 - Postage
1117 - Printing
1118 - Office Supplies
1119 - Telephone, Cell Phone, Pager, Cable Services, Wi-Fi
1120 - Bank Charges
1121 - Newspaper Public Notices
1122 - Business Travel & Seminars
1123 - Training & Conference Registration
1124 - Training & Conference Expenses
1125 - Meeting Expenses
1126 - Memberships and Subscriptions
1127 - Business Expenses
1128 - Director's Liability Insurance
1129 - Property Insurance
1130 - Premises Insurance
1130.1 - Insurance Deductibles
1131 - Accounting Services
1132 - Audit
1133 - Marquee Maintenance Contract
1134 - Marquee Non Contractual Maintenance
1135 - Contingency Fund
1136 - Bad Debt Expenditure
TOTAL ADMINISTRATIVE EXPENSES
BAYFRONT PARK MANAGEMENT TRUST
OPERATING BUDGET
FISCAL YEAR 2014/2015
Requested
Budget
FY 2014/15
$ 123,200
$ 70,565
$ 72,175
$ 48,510
$ 45,480
$ 42,020
$ 33,000
$ 62,530
$ 55,000
$ 3,500
$ 5,000
$ 5,000
$ 4,000
$ 1,000
$ 2,500
$ 5,000
$ 3,000
$ 1,000
$ 10,000
$ 45,000
$ 500
$ 3,500
$ 5,000
$ 3,500
$ 6,000
$ 2,000
$ 26,000
$ 2,500
$ 22,000
$ 10,000
$ 180,000
$ 898,480
Approved Projected Approved Audited
Budget Actual Budget Actual
FY 2013114 FY 2013114 FY 2012113 FY 2012113
$ 123,200 $ 120,000 $ 112,000 $ 112,000
$ 70,565 $ 69,000 $ 64,150 $ 62,880
$ 72,175 $ 72,000 $ 65,615 $ 65,615
$ 48,510 $ 48,500 $ 44,100 $ 41,518
$ 45,480 $ 45,500 $ 41,340 $ 41,344
$ 42,020 $ 42,000 $ 38,200 $ 37,637
$ 33,000 $ 33,000 $ 30,000 $ 29,784
$ 62,780 $ 63,000 $ 63,780 $ 52,329
$ 50,000 $ 50,000 $ 50,000 $ 50,517
$ 3,500 $ 3,000 $ 3,500 $ 2,671
$ $ $ - $
$ $ - $ $
$ $ $ $
$ 5,000 $ 500 $ 5,000 $ 533
$ 5,000 $ 5,000 $ 5,000 $ 1,839
$ 4,000 $ 3,000 $ 4,000 $
$ 1,750 $ 1,000 $ 1,750 $ 846
$ 2,500 $ 1,000 $ 2,500 $ 254
$ 5,000 $ 3,000 $ 5,000 $ 2,269
$ 3,000 $ 2,000 $ 3,000 $ 1,980
$ 1,000 $ 200 $ 1,000 $ 48
$ 10,000 $ 10,000 $ 10,000 $ 4,551
$ 45,000 $ 45,000 $ 35,000 $ 30,924
$ 500 $ $ 500 $ 1
$ 3,500 $ 1,500 $ 3,500 $ 1,482
$ $ - $ $
$ $ - $ - $
$ - $ - $ - $
$ 4,000 $ 4,000 $ 4,000 $ 4,319
$ 3,500 $ 3,500 $ 3,500 $ 2,295
$ $ $ $
$ 6,000 $ 4,000 $ 5,000 $ 4,167
$ 2,000 $ 1,000 $ 1,000 $ 1,197
$ 26,000 $ 26,000 $ 15,000 $ 20,327
$ 2,500 $ - $ 2,500 $
$ - $ - $ - $
$ 22,000 $ 18,500 $ 22,000 $ 21,000
$ - $ - $ $
$ 10,000 $ $ $
$ 30,000 $ $ 30,000 $ 6,366
$ $ $ $ 4,807
$ 743,480 $ 675,200 $ 671,935 $ 605,701
3
Bayfront Park Management Trust Operating Budget
Notes to Proposed Budget for 2014/2015
EXHIBIT 100 Administration
General Revenue
101 Boat Dock Income: proposed $70,000. Revenue based on North and South docks rental.
102 Carriage Income: proposed $00.
103 Film and Video Location Rental: proposed $17,000. Projected revenue based on previous
year' s experience and discussions with film and video professionals.
104 Miscellaneous Revenue: proposed $55,000. Revenue based on previous year' s experience.
105 Concessions: proposed $55,000. Use fee based on potential agreements with park
concessionaires as recommended in the Trust's long range planning sessions.
106 Marquee Revenue: proposed $00.
107 Parking Operation Income: proposed $120,000. Revenue projection based on parking
operation.
108 Interest Income: proposed $00. Income based on projected revenue from Trust funds held in
interest earning accounts.
109 Warehouse Rental Income: proposed $00.
110 Miami Sports & Exhibition Authority: proposed $00.
111 Long Term Agreement Income: proposed $00.
112 Donations: proposed $00. This line item represents donations made to the Trust for general
operating support or specific project funding, which is separate from grant revenue.
4
Administrative Expenses
1101 Executive Director: proposed $123,200. The Executive Director provides overall
management for the Bayfront Park Management Trust (Trust).
1102.1 Contract, Procurement, and Agenda Officer: proposed $70,565. The Contract,
Procurement and Agenda Officer assists the Executive Director in the management of the Trust,
focusing on contracts with promoters, service providers and concessionaires, compliance with
procurement procedures and liaison with the City Agenda Office, and the Trust agenda
preparation.
1103 Business and Finance Director: proposed $72,175. The Business and Finance Director is
responsible for the finances, bookkeeping and accounting functions of the Trust, and assists the
Executive Director with the management of the Trust.
1103.1 Bookkeeper: proposed $48,510. The Bookkeeper reports to the Business and Finance
Director and is responsible for daily maintenance of the Trust's financial records.
1103.2 Human Resources and Office Coordinator: proposed $45,480. The Human Resources
and Office Coordinator is responsible for managing all human resources functions of the Trust
and for coordinating office functions.
1104 Administrative Assistant: proposed $42,020. The Administrative Assistant assists the
Contract, Procurement and Agenda Officer with administrative functions for Bayfront Park
Management Trust.
1105 Receptionist: proposed $33,000. The Receptionist is responsible for Bayfront Park's front
office functions.
5
1106 Payrolling Costs: proposed $62,530. These funds will be used for the payrolling costs of
the administrative employees.
1107 Health & Dental Insurance Contribution: proposed $55,000. These funds will be used to
purchase health and dental insurance for Trust administrative employees.
1108 Life Insurance & Disability Contribution: proposed $3,500. These funds will be used to
purchase life and disability insurance for Trust administrative employees.
1109 Executive Director' s Retirement Plan: proposed $00.
1109.1 Employee Retirement Plan: proposed $00.
1110 Master Planning Implementation Process: proposed $00.
1110.1 Grant Writing Service Fees: proposed $5,000. These funds will be used to pay for grant
writing services for the Trust.
1111 Miscellaneous Expenses: proposed $5,000. These funds will be used for miscellaneous
purchases of goods or services required during the year.
1112 Computer Supplies and Software: proposed $4,000. These funds will be used to purchase
computer supplies and software, as well as associated true -up fees for licensed software.
1113 Courier: proposed $1,000. These funds will be used to procure courier services.
1114 Equipment Purchases: proposed $2,500. These funds will be used to purchase new office
furniture and equipment, including but not limited to computers, facsimile, copiers, scanners,
printers, etc.
1115 Equipment Rental/Maintenance: proposed $5,000. These funds will be used for office
equipment rental, lease and maintenance contracts.
6
1116 Postage: proposed $3,000. These funds will be used to purchase postage.
1117 Printing: proposed $1,000. These funds will be used to procure printing services.
1118 Office Supplies: proposed $10,000. These funds will be used to purchase office supplies.
1119 Telephone, Cellular Phone, Pager, Cable Services, and Wi-Fi: proposed $45,000. These
funds will be used to procure telephone, cellular phone, pager, cable television services, and
Wi-Fi network.
1120 Bank Charges: proposed $500. These funds will be used for bank charges.
1121 Newspaper Public Notices: proposed $3,500. These funds will be used for public notices
required by City of Miami procurement procedures.
1122 Business Travel and Seminars: proposed $00.
1123 Training & Conference Registration: proposed $00.
1124 Training & Conference Expenses: proposed $00.
1125 Meeting Expenses: proposed $5,000. These funds will be used for expenses associated
with the monthly Board Meetings of the Bayfront Park Management Trust.
1126 Memberships and Subscriptions: proposed $3,500. These funds will be used for
memberships in professional organizations and subscriptions to professional journals.
1127 Business Expenses: proposed $00.
1128 Director's Liability Insurance: proposed $6,000. These funds will be used to purchase
Directors and Officers Liability Insurance for the Bayfront Park Management Trust.
1129 Property Insurance: proposed $2,000. These funds will be used to purchase Property
Insurance for Trust property not adequately covered by the City of Miami Self Insurance Fund.
1130 Premises Liability Insurance: proposed $26,000. These funds enable the Trust to purchase
liability insurance for Bayfront and Museum Parks.
1130.1 Insurance Deductible: proposed $2,500. These funds cover the insurance deductible in
the event a claim is paid against the Trust's liability insurance.
1131 Accounting Services: proposed $00.
1132 Audit: proposed $22,000. These funds will be used to procure the annual audit of the
Trust's finances.
1133 Marquee Maintenance Contract: proposed $00.
1134 Marquee Non -Contractual Maintenance: proposed $10,000. These funds will be used to
pay for the maintenance of the Bayfront Park Marquee.
1135 Contingency Funds: proposed $180,000. These funds will be used for any unforeseen
expenses incurred during the year.
1136 Bad Debt Expenditure: proposed $00.
8
REVENUES
SPECIAL EVENT AND MARKETING
201 - SPECIAL EVENT RENTAL INCOME
202 - AMPHITHEATER OPERATION & MANAGEMENT
203 - SPECIAL EVENT SPONSORSHIP
204 - TENT RENTAL
205 - BEER/ALCOHOL LOCATION FEES
206 - FOOD AND SODA LOCATION FEES
207 - ARTS/MERCHANDISE/SPONSOR LOCATION FEES
208 - SPECIAL EVENT ELECTRICAL
209 - DAY OF SHOW STAFFING
210 - BOX OFFICE PERSONNEL AND MANAGEMENT
211 - SPECIAL EVENT CONTRACTED PERSONNEL
212 - SPECIAL EVENT CLEAN-UP SERVICES
213 - CITY OF MIAMI POLICE
214 - CITY OF MIAMI FIRE
215 - PARKING SPACE RENTAL
216 - SPECIAL EVENT EQUIPMENT RENTAL
217 - FOURTH OF JULY
218 - FOURTH OF JULY CITY SERVICES
220 - MISCELLANEOUS SERVICES
221 - PARK DAMAGE - EVENTS
222 - SPECIAL EVENT GRANTS
TOTAL SPECIAL EVENT REVENUES
BAYFRONT PARK MANAGEMENT TRUST
OPERATING BUDGET
FISCAL YEAR 2014/2015
Requested
Budget
FY 2014/15
$ 800,000
$ 740,850
$
$ 100,000
$ 20,000
$ 25,000
$ 20,000
$ 25,000
$ 10,000
$ 100,000
$ 300,000
$ 900,000
$ 350,000
$ 25,000
$ 10,000
$ 102,150
$ 50,000
$ 3,578,000
Approved Projected Approved Audited
Budget Actual Budget Actual
FY 2013114 FY 2013114 FY 2012/13 FY 2012113
$ 345,100 $ 975,000 $ 258,600 $ 1,380,583
$ 719,270 $ 719,000 $ 698,072 $ 698,321
$ $ - $ - $ 10,600
$ 100,000 $ 100,000 $ 55,000 $ 149,840
$ 7,500 $ 20,000 $ 4,000 $ 18,722
$ 15,000 $ 30,000 $ 5,000 $ 26,027
$ 2,500 $ 15,000 $ 2,500 $ 19,575
$ 25,000 $ 20,000 $ 4,000 $ 22,046
$ 7,500 $ 7,500 $ 500 $ 10,010
$ $ - $ $ 7,101
$ 45,000 $ 185,000 $ 45,000 $ 241,904
$ 100,000 $ 300,000 $ 48,000 $ 498,826
$ 300,000 $ 1,000,000 $ 35,000 $ 1,585,735
$ 100,000 $ 400,000 $ 8,000 $ 632,834
$ 10,000 $ 20,000 $ 2,500 $ 36,160
$ 7,500 $ 7,500 $ 2,500 $ 9,090
$ $ $ $ 34,102
$ $ $ $ -
$ 58,630 $ 60,000 $ 18,328 $ 134,828
$ - $ - $ - $ 50,247
$ 50,000 $ 42,500 $ 50,000 $ 43,603
$ 1,893,000 $ 3,901,500 $ 1,237,000 $ 5,610,152
9
EXPENSES
SPECIAL EVENT AND MARKETING
2201 - Event Coordinator
2203 - Marketing & Special Event Assistant
2204 - Marketing Director
2205 - Special Event Payrolling Cost
2206 - Health & Dental Insurance Contribution
2206.1 - Employees Retirement Plan
2207 - Day of Show Staffing
2208 - Special Event Contracted Personnel
2209 - Box Office Personnel and Management
2210 - Special Event Electrical Services
2211 - City of Miami Fire Rescue Services
2212 - City of Miami Police
2213 - Special Event Cleanup Services
2214 - Parking Space Rental
2215 - Special Event Equipment Purchase
2216 - Special Event Tent Rental
2217 - Special Event Equipment Rental
2218 - BPMT Sponsored Events
2218.1 - BPMT Sponsored Nonprofit Community Events
2218.2 - BPMT Sponsored Holiday Events
2218.3 - BPMT Sponsored New Year's Eve
2219 - Fourth of July
2220 - Fourth of July City Services
2221 - Insurance
2222 - Website Production and Design
2222.1 - Event booking Software
2223 - Website Hosting, Revision and Maintenance
2224- Marketing Opportunity Fund
2225 - Print Advertising
2226 - Broadcast Advertising
2227 - Design & Graphics
2228 - Photographic and Video Services
2229 - Printing of Brochure and Promoters Packet
2230 - Promotional
2231 - Special Event Miscellaneous Expenses
2232 - Special Event Damages
TOTAL SPECIAL EVENT EXPENSES
BAYFRONT PARK MANAGEMENT TRUST
OPERATING BUDGET
FISCAL YEAR 2014/2015
Requested
Budget
FY 2014115
$ 67,265
$ 77,985
$ 12,750
$ 20,000
$ 35,000
$ 155,000
$ 5,000
$ 10,000
$ 350,000
$ 900,000
$ 260,000
$ 5,000
$ 85,000
$ 10,000
$ 40,000
$ 100,000
$ 55,000
$ 45,000
$
$ 8,000
$ 42,500
$ 13,000
$
$ 5,000
$ 4,500
$ 4,500
$
$
$ 2,310,500
Approved Projected Approved Audited
Budget Actual Budget Actual
FY 2013114 FY 2013114 FY 2012113 FY 2012113
$ 67,265 $ 67,000 $ 61,150 $ 61,110
$ - $ $ - $ -
$ 77,985 $ 70,000 $ 70,895 $ 60,337
$ 12,750 $ 12,000 $ 12,750 $ 10,562
$ 15,000 $ 15,000 $ 15,000 $ 15,185
$ - $ - $ $
$ 20,000 $ 20,000 $ 7,000 $ 48,537
$ 100,000 $ 200,000 $ 40,000 $ 279,573
$ 2,000 $ 4,000 $ 2,000 $ 9,944
$ 7,000 $ 10,000 $ 3,000 $ 13,276
$ 100,000 $ 400,000 $ 8,000 $ 632,334
$ 300,000 $ 1,000,000 $ 35,000 $ 1,586,985
$ 85,000 $ 250,000 $ 43,000 $ 458,969
$ 5,000 $ 5,000 $ 1,000 $ 4,000
$ - $ $ $ -
$ 85,000 $ 80,000 $ 45,000 $ 133,568
$ 10,000 $ 5,000 $ 10,000 $ 5,335
$ 40,000 $ 16,000 $ 30,000 $ 15,700
$ $ $ - $ -
$ $ $ - $ -
$ 100,000 $ 99,000 $ 100,000 $ 103,502
$ 55,000 $ 55,000 $ 55,000 $ 51,225
$ 45,000 $ 45,000 $ 35,000 $ 35,404
$ $ $ $ -
$ - $ $ $
$ - $ $ $
$ 8,000 $ 3,550 $ 8,000 $ 2,921
$ 42,500 $ $ 42,500 $ 530
$ 13,000 $ 1,000 $ 13,000 $ 999
$ - $ $ - $
$ 5,000 $ 1,000 $ 5,000 $ 575
$ 4,500 $ $ 4,500 $
$ $ $ $
$ 4,500 $ 500 $ 4,500 $
$ - $ $ $ 3,074
$ $ - $ $
$ 1,204,500 $ 2,359,050 $ 651,295 $ 3,533,644
10
Bayfront Park Management Trust Operating Budget
Notes to Proposed Budget for 2014/2015
EXHIBIT 200 Special Events and Marketing
Special Events and Marketing Revenue
201 Event Rental Income: proposed $800,000. Rental income reflects a projected 15-date event
calendar.
202 Amphitheater Operation & Management: proposed $740,850. This revenue is based on
the management agreement with Live Nation.
203 Special Event Sponsorship: proposed $00.
204 Tent Rental: proposed $100,000. Tent rental revenue is based on a projected 15 events
scheduled in Trust facilities in 2014/2015.
205 Beer/Alcohol Location Fees: proposed $20,000. Beer and Alcohol Location Fees revenue is
based on a projected 15 events scheduled in Trust facilities in 2014/2015.
206 Food and Soda Location Fees: proposed $25,000. Food and Soda Location Fees revenue is
based on a projected 15 events scheduled in Trust facilities in 2014/2015.
207 Arts/Merchandise/Sponsor Location Fees: proposed $20,000. Arts, Merchandise, and
Sponsor Fees revenue is based on a projected 15 events scheduled in Trust facilities in 2014/2015.
208 Special Event Electrical: proposed $25,000. Special Event Electrical revenue represents
charges to promoters for electrician services and is based on a projected 15 events scheduled in
Trust facilities in 2014/2015.
209 BPMT Show Staffing: proposed $10,000. BPMT Show Staffing revenue is based on events
scheduled in Trust facilities in 2014/2015 where event staff charges are not included in rental fees.
11
210 Box Office Staff and Management: proposed $00.
211 Special Event Contracted Services: proposed $100,000. Special Event Contracted Services
are security and parking personnel required at all Trust hosted events. The revenue is based on a
projected 15 events scheduled in Trust facilities in 2014/2015.
212 Special Event Clean -Up Services: proposed $300,000. Special Event Clean -Up Services
revenue is based on a projected 15 events scheduled in Trust facilities in 2014/2015.
213 City of Miami Police: proposed $900,000. City of Miami Police revenue is based on a
projected 15 events scheduled in Trust facilities in 2014/2015.
214 City of Miami Fire: proposed $350,000. City of Miami Fire revenue is based on a projected
15 events scheduled in Trust facilities in 2014/2015.
215 Parking Space Rental: proposed $25,000. This revenue represents fees charged to
promoters for additional parking locations rented from City of Miami Department of Off -Street
Parking.
216 Special Event Equipment Rental: proposed $10,000. Special Event Equipment Rental
revenue is based on a projected 15 events scheduled in Trust facilities in 2014/2015.
217 Fourth of July: proposed $00. Revenue represents income from the Trust' s annual July 4th
celebration.
218 Fourth of July City Services: proposed $00. The City of Miami no longer provides police,
fire rescue and solid waste services for the Trust' s annual July 4th celebration.
220 Miscellaneous Services: proposed $102,150. Represents income from various services the
Trust provides promoters, outside of those listed above.
12
221 Park Damage - Events: proposed $00. Represents fees charged to promoters for damages in
Bayfront or Museum Parks resulting from Special Events.
222 Special Event Grants: proposed $50,000. Figure represents amount to be generated through
grant applications for Trust sponsored special events.
13
Special Events and Marketing Expenses
2201 Event Coordinator: proposed $67,265. The Event Coordinator is responsible for special
event related activities undertaken by the Trust.
2203 Marketing & Special Event Assistant: proposed $00.
2204 Marketing Director: proposed $77,985. The Marketing Director is responsible for
increasing awareness of and facility rentals for the Trust.
2205 Payrolling Costs: proposed $12,750. These funds will be used for the payrolling costs of
the Special Event employees.
2206 Health & Dental Insurance Contribution: proposed $20,000. These funds will be used to
purchase health, dental, life and dismemberment insurance for Trust Special Event and Marketing
employees.
2206.1 Employee Retirement Plan: proposed $00.
2207 Day of Show Staffing: proposed $35,000. These funds will be used to pay staff needed for
set-up, teardown and maintenance of events.
2208 Special Event Contracted Personnel: proposed $155,000. These funds will be used to
pay contracted personnel who provide special event parking and security services, as well as
manage the parking operation outside Bayfront Park offices.
2209 Box Office Personnel and Management: proposed $5,000. These funds will be used to pay
box office and ticket auditing crew.
2210 Special Event Electrical Services: proposed $10,000. These funds will be used to pay the
14
Trust' s certified electrician, who is required on -site during all special events to connect house
power to the promoter's equipment, and these fees are charged back to the promoter.
2211 City of Miami Fire Rescue Service: proposed $350,000. Fire Rescue Service is required
at all special events to ensure the safety and well-being of park visitors.
2212 City of Miami Police: proposed $900,000. City of Miami Police representatives are
required at all special events to ensure the security and well-being of park visitors.
2213 Event Cleanup Services: proposed $260,000. These funds will be used to pay during -event
and after -event cleaning contractor.
2214 Parking Space Rental: proposed $5,000. These fees will be used to obtain additional
parking locations, as needed, from the City of Miami Department of Off Street Parking.
2215 Special Event Equipment Purchase: proposed $00.
2216 Special Event Tent Rental: proposed $85,000. These funds will be used to rent tents,
tables, chairs, lights, side -walls and table skirts from the Trust' s tent contractor.
2217 Special Event Equipment Rental: proposed $10,000. These funds will be used to rent
equipment from various vendors required for special events.
2218 BPMT Sponsored Events: proposed $40,000. These funds will be used to sponsor various
community events supported and approved by the Bayfront Park Management Trust.
2218.1 BPMT Sponsored Nonprofit Community Events: proposed $00.
2218.2 BPMT Sponsored Holiday Events: proposed $00.
2218.3 BPMT Sponsored New Year's Eve: proposed $100,000. These funds will be used for the
production costs of the Trust' s annual New Year's Eve celebration.
15
2219 Fourth of July: proposed $55,000. These funds will be used for the production costs of the
Trust' s annual July 4th celebration.
2220 Fourth of July City Services: proposed $45,000. This expense represents the cost of City
of Miami services, police, fire rescue, trash removal, for the Trust' s annual July 4th celebration.
2221 Insurance: proposed $00.
2222 Website Design and Production: proposed $00.
2222.1 Event Booking Software: proposed $00.
2223 Website Hosting, Revision and Maintenance: proposed $8,000. These funds will be used
to pay for website hosting, necessary revisions and maintenance services for the Bayfront Park
Management Trust website.
2224 Marketing Opportunity Fund: proposed $42,500. These funds will be used to undertake
special events, promotions, or other marketing opportunities to further increase the Trust's
services to the community.
2225 Print Advertising: proposed $13,000. These funds will be used to purchase print
advertising to support Trust sponsored events, or to promote Bayfront Park as a desirable
destination for the general public, as well as event planners and promoters.
2226 Broadcast Advertising: proposed $00.
2227 Design and Graphics: proposed $5,000. These funds will be used to contract with a
designer to create advertising materials to support Bayfront Park Management Trust sponsored
events, or to promote Bayfront Park as a desirable destination for the general public, as well as
event planners and promoters.
16
2228 Photographic and Video Services: proposed $4,500. These funds will be used to contract
with photographers and videographers to document events at Bayfront Park.
2229 Brochure and Promoter' s Packet Printing: proposed $00.
2230 Promotional: proposed $4,500. These funds will be used to purchase promotional items,
which promote Bayfront Park as a desirable destination for the general public, as well as event
planners and promoters.
2231 Special Event Miscellaneous Expenses: proposed $00. These funds will be used to make
miscellaneous purchases that arise in the course of doing special events.
2232 Special Event Damages: proposed $00.
17
MAINTENANCE :
301 - CITY CONTRIBUTION
302- HURRICANE REIMBURSEMENT
303 - GRANTS
304 - FPL FOUNTAIN CONTRIBUTION
305 - Miss CURRY GIFT TO CHALLENGER MEMORIAL
306 - CITY CONTRIBUTION FOR CAPITAL IMPROVEMENT
308 - LEE & TINA HILLS CONTRIBUTION
TOTAL MAINTENANCE REVENUES
BAYFRONT PARK MANAGEMENT TRUST
OPERATING BUDGET
FISCAL YEAR 2014/2015
Requested
Budget
FY 2014115
Approved Projected Approved Audited
Budget Actual Budget Actual
FY 2013114 FY 2013114 FY 2012113 FY 2012113
$ - $ $ - $
$ $ - $ $
$ - $ $ $
$ - $ - $ $
$ $ $ - $
$ - $ $ - $
$ $ $ $
$ $ $ $
18
EXPENSES
MAINTENANCE :
3301 - Park Maintenance Supervisor
3302 - Maintenance Assistant I
3303 - Maintenance Assistant II
3304 - Maintenance Assistant III
3305 - Maintenance Assistant IV
3305.1 - Maintenance Assistant V
3305,2 - Maintenance Assistant VI
3305.3 - Maintenance Assistant VII
3306 - Turf and Irrigation Specialist
3307 - Payrolling Cost
3307.1 - Maintenance Department Overtime
3308 - Health and Dental Insurance Contribution
3308.1 - Employees Retirement Plan
3309 - Challenger Memorial Flower Maintenance
3310 - Architectural Advisor
3311 - Architectural Advisor Special Projects
3312 - Turf Replacement
3313 - New Landscape Plants
3314 - Park Mowing
3315 - Park Fence and Site Improvements
3316 - Bougainvillea Trimming
3317 - Exterminator
3318 - Fertilizer & Chemicals
3319- Signage
3320- General Park Contractor
3321 - Office Cleaning & Maintenance Services
3321.1 - Restrooms Attendants
3322 - Pressure Cleaning Equipment Maintenance
3323 - Ticket Trailer Maintenance - Purchase
3324 - Painting and Accessories
3325 - Uniforms
3326 - Park Vehicle Maintenance and Repair
3327 - Purchase of a New Closed Van
3328 - Equipment Leasing and Rentals
3328.1 - Equipment Purchase
3328.2 - Equipment Repairs
3329 - Miscellaneous Supplies
3330 - Gator Maintenance and Repairs
3331 - Park Electrician Ongoing Maintenance
3332 - Lift Station and Pump Service
3333 - Electrical Maintenance Materials
3334 - Bulbs, Fixtures and Poles
3335 - Air Conditioner Replacement Cost
3336 - Air Conditioning Maintenance Contract
3337 - Alarm Monitoring Services
3338 - Dade County Water and Sewer
3339 - FPL Utilities
BAYFRONT PARK MANAGEMENT TRUST
OPERATING BUDGET
FISCAL YEAR 2014/2015
Requested
Budget
FY 2014115
$ 71,300
$ 40,455
$ 41,600
$ 35,030
$ 37,825
$ 29,975
$
$ 43,475
$ 26,700
$ 45,160
$ 55,000
$ 7,500
$ 5,000
$
$ 3,000
$ 10,000
$ 3,000
$ 150,000
$ 20,000
$ 85,000
$ 10,000
$ 6,000
$ 5,000
$ 7,500
$
$ 2,000
$ 15,000
$ 7,000
$ 10,000
$ 21,000
$ 2,000
$ 10,000
$ 7,000
$ 5,000
$ 4,000
$ 85,000
$ 165,000
Approved Projected Approved Audited
Budget Actual Budget Actual
FY 2013114 FY 2013/14 FY 2012/13 FY 2012f13
$ 71,300 $ 71,000 $ 64,820 $ 64,827
$ 40,455 $ 40,000 $ 36,775 $ 37,322
$ 41,600 $ 41,000 $ 37,815 $ 39,051
$ 35,030 $ 35,000 $ 31,845 $ 31,875
$ 37,825 $ 37,500 $ 34,385 $ 23,176
$ 29,975 $ 30,000 $ 27,250 $ 27,680
$ $ $ $
$ - $ - $ $
$ 43,475 $ 40,000 $ 39,520 $ 34,262
$ 26,700 $ 26,500 $ 26,700 $ 25,734
$ 34,160 $ 35,000 $ 34,160 $ 42,782
$ 50,000 $ 45,000 $ 50,000 $ 45,596
$ - $ $ $
$ $ - $ $
$ $ $ $
$ - $ $ $
$ 7,500 $ 2,500 $ 7,500 $ 2,837
$ 5,000 $ 4,000 $ 5,000 $ 2,425
$ $ $ - $ -
$ $ $ 3,500 $ 18
$ $ - $ - $ -
$ 3,000 $ 1,000 $ 3,000 $ 1,021
$ 10,000 $ 3,000 $ 10,000 $ 1,067
$ 2,000 $ 2,000 $ 2,000 $ 2,709
$ 76,500 $ 175,000 $ 76,500 $ 150,771
$ 20,000 $ 19,500 $ 20,000 $ 18,061
$ 85,000 $ - $ - $ -
$ 6,000 $ 5,000 $ 6,000 $ 6,045
$ - $ $ - $ -
$ 6,000 $ 5,000 $ 6,000 $ 4,440
$ 5,000 $ 2,000 $ 5,000 $ 2,092
$ 7,500 $ 7,500 $ 5,000 $ 5,614
$ $ $ $ -
$ 2,000 $ 1,500 $ 2,000 $ (287)
$ - $ - $ - $
$ 10,000 $ 11,000 $ 6,000 $ 15,514
$ 6,000 $ 6,000 $ 6,000 $ 6,461
$ 8,000 $ 7,500 $ 8,000 $ 6,769
$ 20,000 $ 19,500 $ 20,000 $ 20,133
$ 2,000 $ 1,500 $ 2,000 $ 863
$ 7,000 $ 7,000 $ 7,000 $ 9,531
$ 7,000 $ 6,500 $ 7,000 $ 6,574
$ $ - $ - $ -
$ 5,000 $ 4,500 $ 5,000 $ 4,775
$ 4,000 $ 2,000 $ 4,000 $ 1,259
$ 75,000 $ 75,000 $ 75,000 $ 85,174
$ 145,000 $ 145,000 $ 145,000 $ 165,810
19
EXPENSES
MAINTENANCE:
3340 - Trash Removal Fee
3341 - Private Trash Hauling
3342 - Maintenance of Trash Compactor
3343 - New Garbage Barrels
3344 - Park Vehicle Insurance
3345 - Chemicals
3346 - Cleaning Supplies - Other
3346.1 - Trash Bags
3346.2 - Hand Towels
3346.3 - Toilet Tissue
3346.4 - Hand Soap
3347 - Tool Purchases
3347.1 - Fuel
3348 - Miscellaneous
3349 - General Plumbing Repair and Maintenance
3350 - Maintenance of Irrigation Pumps
3351 - Turf and Irrigation Supplies
3352 - Private Security
3353 - Purchase of Hand Radios
3354 - Maintenance and Repair of Hand Radios
3355 - Maintenance Safety Training
3356 - Facilities Cleaning Contractor
3357 - Infrastructure Studies & Expenses
MUSEUM PARK:
4500.1 - Museum Park Maintenance Assistant I
4500.2 - Museum Park Maintenance Assistant II
4500.21 - Museum Park Landscape Maint. Contractor
4500.3 - Museum Park Payrolling Costs
4500.31 - Museum Park Maintenance Overtime
4500.4 - Museum Park Health and Dental Insur, Contribution
4501 - Museum Park Landscape Maintenance
4502 - Museum Park Infrastructure & Furnishing
4503 - Museum Park Electricity
4504 - Museum Park Water & Sewer
4505 - Museum Park Consumables
4506 - Museum Park Security
4507 - Museum Park Fence and Site Improvements
4508 - Museum Park Contingency
FOUNTAIN :
5501 - Fountain Contract and Services
5502 - Computer Maintenance
5503 - Chemicals
5504 - Filter and Screens
5505 - Miscellaneous Maintenance
TOTAL MAINTENANCE EXPENSES
BAYFRONT PARK MANAGEMENT TRUST
OPERATING BUDGET
FISCAL YEAR 2014/2015
Requested
Budget
FY 2014115
Approved Projected Approved Audited
Budget Actual Budget Actual
FY 2013114 FY 2013114 FY 2012113 FY 2012113
$ 1,000 $ 1,000 $ - $ 1,000 $ -
$ - $ - $ - $ $
$ $ $ $ - $
$ - $ $ $ - $
$ 5,000 $ 5,000 $ 3,000 $ 12,500 $ 2,650
$ $ - $ - $ - $ -
$ 1,500 $ 1,000 $ 10,000 $ 1,000 $ 1,408
$ 15,000 $ 11,500 $ 11,500 $ 11,500 $ 11,740
$ 2,000 $ 2,000 $ 1,500 $ 2,000 $ 1,091
$ 2,000 $ 2,000 $ 2,000 $ 2,000 $ 1,707
$ 1,500 $ 1,500 $ 250 $ 1,500 $ 112
$ 1,000 $ 1,000 $ 500 $ 1,000 $ 352
$ 20,000 $ 20,000 $ 20,000 $ 20,000 $ 16,009
$ 2,500 $ 2,500 $ - $ $
$ 6,000 $ 6,000 $ 4,500 $ 6,000 $ 4,416
$ 2,500 $ 2,500 $ - $ 2,500 $ -
$ 20,000 $ 10,000 $ 10,000 $ 10,000 $ 15,232
$ 150,000 $ 150,000 $ 145,000 $ 145,000 $ 143,545
$ - $ - $ $ - $
$ 2,000 $ 1,000 $ 1,000 $ 1,000 $ 1,116
$ 2,500 $ 3,000 $ - $ 3,000 $
$ $ $ - $ - $
$ - $ $ - $ - $
$ $ 35,000 $ - $ - $
$ $ 35,000 $ $ - $
$ 120,000 $ - $ $ $
$ - $ 7,500 $ $ - $
$ 20,000 $ - $ - $ - $
$ - $ 7,500 $ $ $
$ 30,000 $ 50,000 $ $ - $
$ 75,000 $ 50,000 $ $ - $
$ 150,000 $ 75,000 $ - $ $
$ 100,000 $ 50,000 $ - $ - $
$ 75,000 $ 50,000 $ - $ - $
$ 300,000 $ 300,000 $ $ $
$ 25,000 $ 25,000 $ - $ $
$ 105,000 $ 115,000 $ $ $
$ $ - $ $ $
$ - $ - $ - $ $
$ 15,000 $ 15,000 $ 6,500 $ 15,000 $ 6,483
$ $ - $ $ - $
$ 15,000 $ 10,000 $ 10,000 $ 10,000 $ 11,627
$ 2,336,020 $ 1,980,020 $ 1,140,250 $ 1,066,770 $ 1,109,670
20
Bayfront Park Management Trust Operating Budget
Notes to Proposed Budget for 2014/2015
EXHIBIT 300 Maintenance
Maintenance Revenue
301 City Contribution: proposed $00.
302 Hurricane Reimbursement: proposed $00. Line item is included in the budget in the event
of a hurricane.
303 Grants: proposed $00.
304 FPL Fountain Contribution: proposed $00.
305 Miss Curry Gift to Challenger Memorial: proposed $00.
306 City Contribution for Capital Improvements: proposed $00.
21
Maintenance Expenses
3301 Park Maintenance Supervisor: proposed $71,300. The Park Maintenance Supervisor is
responsible for the management and coordination of all maintenance crews and related activities
of the Trust.
3302 Maintenance Assistant I: proposed $40,455. The Maintenance Assistant I reports to the
Park Maintenance Supervisor and is responsible for the ongoing maintenance of Trust facilities.
3303 Maintenance Assistant II: proposed $41,600. The Maintenance Assistant II reports to the
Park Maintenance Supervisor and is responsible for the ongoing maintenance of Trust facilities.
3304 Maintenance Assistant III: proposed $35,030. The Maintenance Assistant III reports to the
Park Maintenance Supervisor and is responsible for the ongoing maintenance of Trust facilities.
3305 Maintenance Assistant IV: proposed $37,825. The Maintenance Assistant IV reports to
the Park Maintenance Supervisor and is responsible for the ongoing maintenance of Trust
facilities.
3305.1 Maintenance Assistant V: proposed $29,975. The Maintenance Assistant V reports to
the Park Maintenance Supervisor and is responsible for the ongoing maintenance of Trust
facilities.
3306 Turf & Irrigation Specialist: proposed $43,475. The Turf & Irrigation Specialist reports
to the Park Maintenance Supervisor, and works to ensure the health and vitality of the flora in
Trust facilities.
3307 Payrolling Costs: proposed $26,700. These funds will be used for the payrolling costs of
the Maintenance Department employees.
22
3307.1 Maintenance Department Overtime: proposed $45,160. These funds will be used for
overtime hours worked by the Maintenance Department employees necessary for maintaining
Bayfront Park.
3308 Health and Dental Insurance Contribution: proposed $55,000. These funds will be used
to purchase health, dental, life and dismemberment insurance for the Maintenance Department
employees.
3308.1 Employee Retirement Plan: proposed $00.
3309 Challenger Memorial Flower Maintenance: proposed $00.
3310 Architectural Adviser: proposed $00.
3311 Architectural Adviser - Special Projects: proposed $00.
3312 Turf Replacement: proposed $7,500. These funds will be used to purchase replacement
turf on an as needed basis.
3313 New Landscape Plants: proposed $5,000. Theses funds will be used to replace damaged or
dying plants as needed.
3314 Mowing Services: proposed $00.
3315 Fence and Site Improvements: proposed $00.
3316 Bougainvillea Trimming: proposed $00.
3317 Exterminator: proposed $3,000. These funds will be used for a contract exterminator, to
keep rodents and insects to a minimum in Trust facilities.
3318 Fertilizer & Chemicals: proposed $10,000. These funds will be used to fertilize the turf,
palms, shrubs and deciduous trees in Bayfront and Museum Parks.
23
3319 Signage: proposed $3,000. These funds will be used for maintenance of existing signage in
Bayfront Park.
3320 General Park Contractor: proposed $150,000. These funds will be used to contract with
City of Miami approved General Contractors for necessary and ongoing repairs required to
maintain Trust facilities.
3321 Office Cleaning & Maintenance: proposed $20,000. These funds will be used to contract
a cleaning service provider to clean the Bayfront Park Offices.
3321.1 Restroom Attendants: proposed $85,000. These funds will be used to contract a cleaning
service provider to clean the restrooms at Bayfront Park.
3322 Pressure Cleaning Equipment Maintenance: proposed $10,000. These funds will be
used to maintain pressure and steam cleaners owned by the Trust.
3323 Ticket Trailers Maintenance and Purchase: proposed $00.
3324 Painting & Accessories: proposed $6,000. These funds will be used to maintain Bayfront
Park' s structures.
3325 Uniforms: proposed $5,000. These funds are used to purchase and maintain unifou us for
the park maintenance staff.
3326 Park Vehicle Maintenance and Repairs: proposed $7,500. These funds will be used for
routine maintenance and repairs of the Park's pick-up trucks. This will include tires, tune-ups and
complete vehicle maintenance.
3327 Purchase of New Closed Van: proposed $00.
3328 Equipment Leasing & Rentals: proposed $2,000. These funds will cover costs to lease
24
and/or rent equipment associated with Park upkeep and maintenance.
3328.1 Equipment Purchase: proposed $00.
3328.2 Equipment Repairs: proposed $15,000. These funds will cover the cost of a wide range
of equipment repairs necessary for the ongoing maintenance of Bayfront and Museum Parks.
3329 Miscellaneous Supplies: proposed $7,000. These funds will allow designated staff
members to purchase miscellaneous supplies as the need arises.
3330 Gator Maintenance & Repairs: proposed $10,000. These funds will be used for
maintenance and repair of the Trust's five John Deere Gators.
3331 Park Electrician Ongoing Maintenance: proposed $21,000. These funds will be used to
allow the park electrician to develop and maintain maintenance and an upgrade schedule of the
park' s electrical system.
3332 Lift Station and Pump Service: proposed $2,000. These funds would be used to maintain
Bayfront Park' s lift stations and pit pumps.
3333 Electrical Maintenance Materials: proposed $10,000. These funds will be used to
purchase lamps, fuses, receptacles, switches, and miscellaneous hardware related to the Bayfront
Park electrical system. This will cover most fixtures within park buildings -- administrative
offices, service buildings, maintenance buildings, and the amphitheater: fluorescent bulbs,
standard incandescent bulbs, wall duplex receptacles, single -pole switches, cover plates, and
small -amperage fuse breakers.
3334 Bulb Fixtures & Poles: proposed $7,000. These funds will be used to replace burnt out
bulbs and damaged and missing electrical poles in Trust facilities.
25
3335 Air Conditioner Replacement Cost: proposed $00.
3336 Air Conditioning Maintenance Contract: proposed $5,000. These funds will be used to
enter into a service contract with a vendor to provide air conditioning maintenance in the park' s
administrative offices, amphitheater, laser tower, fountain booth and south end service building.
3337 Alarm Monitoring Services: proposed $4,000. These funds will be used for alarm
monitoring services in the administrative offices, the fountain control booth and the south end
service building.
3338 Miami -Dade County Water and Sewer: proposed $85,000. These funds will be used for
all water and sewage services supplied by Miami -Dade County Water & Sewer Department.
3339 FP&L Utilities: proposed $165,000. These funds will be used to purchase electrical
services from FP&L and include an increase to cover projected rate changes.
3340 Trash Removal Fee: proposed S1,000. These funds will cover costs imposed by the city to
transport trash from the park to appropriate disposal sites.
3341 Private Trash Hauling: proposed $00. Services provided at no charge through City of
Miami agreement.
3342 Maintenance of Trash Compactor: proposed $00.
3343 New Garbage Barrels: proposed $00.
3344 Park Vehicle Insurance: proposed $5,000. These funds will be used to purchase insurance
for the Park's trucks.
3345 Chemicals: proposed $00.
3346 Cleaning Supplies: proposed $1,500. These funds will be used to purchase cleaning
26
supplies and other materials needed to keep the park' s administrative offices clean.
3346.1 Trash Bags: proposed $15,000. These funds will be used to purchase trash bags for all
park needs.
3346.2 Hand Towels: proposed $2,000. These funds will be used to purchase hand towels for
use in park' s restrooms.
3346.3 Toilet Tissue: proposed $2,000. These funds will be used to purchase toilet tissue for use
in park' s restrooms.
3346.4 Hand Soap: proposed $1,500. These funds will be used to purchase hand soap for use in
park' s restrooms.
3347 Tool Purchases: proposed $1,000. These funds will be used to purchase all tools necessary
to maintain Trust facilities. This includes hand or power tools needed for routine maintenance.
3347.1 Fuel: proposed $20,000. These funds will be used to purchase fuel for park's vehicles and
power equipment.
3348 Miscellaneous: proposed $2,500. These funds will be used for miscellaneous maintenance.
3349 General Plumbing Repair and Maintenance: proposed $6,000. These funds will be used
for plumbing repair and maintenance throughout Bayfront Park, all restrooms, toilets, sinks, and
showers in the amphitheater, south end service building, light tower complex, and administrative
offices.
3350 Maintenance of Irrigation Pumps: proposed $2,500. These funds will be used to maintain
the Park' s irrigation pumps, located in the pump station adjacent to the Mildred & Claude Pepper
Fountain and the south end service building.
27
3351 Turf and Irrigation Supplies: proposed $20,000. These funds will be used to maintain and
upgrade Bayfront and Museum Parks' turf and irrigation system.
3352 Private Security: proposed $150,000. These funds will be used to hire private security,
from an existing City of Miami contractor, to provide 24-hour security in Bayfront Park.
3353 Purchase of Hand -Radios: proposed $00.
3354 Maintenance and Repair of Hand -Radios: proposed $2,000. These funds will be used to
maintain the two-way radio system, for use by park staff and for rental to promoters.
3355 Maintenance Safety Training: proposed $2,500. These funds will be used for safety
training classes for the park's maintenance staff.
3356 Facilities Cleaning Contractor: proposed $00.
3357 Infrastructure Studies and Expenses: proposed $00.
Museum Park Maintenance
4500.1 Museum Park Maintenance Assistant I: proposed $00. The Museum Park
Maintenance Assistant I is responsible for the ongoing maintenance of Museum Park.
4500.2 Museum Park Maintenance Assistant II: proposed $00. The Museum Park
Maintenance Assistant II is responsible for the ongoing maintenance of Museum Park.
4500.21 Museum Park Landscape Maintenance Contractor: proposed $120,000. The
Museum Park Landscape Maintenance Contractor is responsible for partial mowing and trimming
maintenance of Museum Park.
28
4500.3 Payrolling Costs: proposed $00. These funds will be used for the payrolling costs of the
Museum Park Maintenance Department employees.
4500.31 Museum Park Maintenance Overtime: proposed $20,000. These funds will be used
for overtime hours worked by the Maintenance Department employees necessary for maintaining
Museum Park.
4500.4 - Health and Dental Insurance Contribution: proposed $00. These funds will be used to
purchase health, dental, and life insurance for Museum Maintenance employees.
4501 Museum Park Landscape Maintenance: proposed $30,000. These funds will be used to
maintain the landscape in Museum Park.
4502 Museum Park Infrastructure & Furnishing: proposed $75,000. These funds will be
used to maintain infrastructure in Museum Park.
4503 Museum Park Electricity: proposed $150,000. These funds will be used to pay for
electricity in Museum Park.
4504 Museum Park Water & Sewer: proposed $100,000. These funds will be used for all
water and sewage services in Museum Park.
4505 Museum Park Consumables: proposed $75,000. These funds will be used to purchase
trash bags, fuel, and irrigation supplies for Museum Park.
4506 Museum Park Security: proposed $300,000. These funds will be used to hire private
security, from an existing City of Miami contractor, to provide 24-hour security in Museum
Park.
29
4507 Museum Park Fence and Site Improvements: proposed $25,000. These funds will be
used to maintain the fence surrounding Museum Park, and additional site improvements.
4508 Museum Park Contingency: proposed $105,000. These funds will be used for any
unforeseen Museum Park expenses incurred during the year.
Mildred & Claude Pepper Fountain
5501 Fountain Maintenance Service Contract: proposed $00. Maintenance staff maintains the
Mildred and Claude Pepper Fountain in Bayfront Park.
5502 Fountain Computer Maintenance: proposed $00.
5503 Chemicals: proposed $15,000. These funds will be used to purchase chlorine for the
Mildred and Claude Pepper Fountain in Bayfront Park.
5504 Filters and Screens: proposed $00.
5505 Miscellaneous Maintenance: proposed $15,000. These funds will be used for unforeseen
expenses associated with the Mildred and Claude Pepper Fountain in Bayfront Park.
30
Bayfront Park Management Trust Operating Budget
Notes to Proposed Budget for 2014/2015
EXHIBIT Senior Homestead Exemption Relief
Expense
8800.1 Senior Homestead Exemption Relief: proposed $00. These monies will be used to fund
Constitutional Amendment II, which provides an additional Homestead Exemption of $50,000 to
Senior Citizen's property taxes. This support is available for homeowners 65 years or older as of
January 1, 2012, whose combined adjusted gross income for 2012 does not exceed $27,030, as
adjusted, who have maintained their same permanent residence for at least 25 years that have a
market value of less than $250,000.
31
Bayfront Park Management Trust Operating Budget
Notes to Proposed Budget for 2014/2015
EXHIBIT Depreciation
Expense
Depreciation Expense: This figure represents the decrease in value over -time of the Trust's
assets and is a function of generally accepted accounting principles.
32
BAYFRONT PARK
MANAGEMENT TRUST
CAPITAL IMPROVEMENT BUDGET
FISCAL YEAR 2014/2015
BAYFRONT PARK MANAGEMENT TRUST
CAPITAL BUDGET
FISCAL YEAR 2014/2015
BOARD DESIGNATED FUND FOR CAPITAL IMPROVEMENTS
FIXED ASSETS & LAND IMPROVEMENTS
Purchase of Fixed Assets
Park Structures & Pathways
Park Wayfindings & Furnishings
Park Tree Canopy Expansion
Fountain Project
Wi-Fi Network
TOTAL CAPITAL IMPROVEMENTS
Requested
Budget
FY 2014115
$ 2,500,000
$ 150,000
$ 600,000
$ 200,000
$ 50,000
$ 1,400,000
$ 100,000
$ 2,500,000
Bayfront Park Management Trust Capital Improvement Budget
Notes to Proposed Budget for 2014/2015
EXHIBIT 600
Board Designated Capital Improvement Fund: $2,500,000
Expenses
Fixed Assets and Land Improvements
Purchase of Fixed Assets: proposed $150,000. These funds will be used to replace and acquire
new equipment (computers, printers, scanners, etc) over $750.
Park Structures & Pathways: proposed $600,000. These funds will be used for park pathways
beautification, with a particular focus on the Baywalk.
Park Wavfindings & Furnishings: proposed $200,000. These funds will be used for park
signage and furnishings, including but not limited to benches and trash receptacles.
Park Tree Canopy Expansion: proposed $50,000. These funds will be used for expansion of
the park tree canopy.
Fountain Project: proposed $1,400,000. These funds will be used for improvements to the
fountain.
Wi-Fi Network: proposed $100,000, These funds will be used for the installation of a Wi-Fi
Network connection in Bayfront Park.
35
REVENUES
GENERAL REVENUES
SPECIAL EVENTS & MARKETING REVENUES
MAINTENANCE REVENUES
RESERVE FUND TRANSFER
TOTAL REVENUES
EXPENSES
ADMINISTRATIVE EXPENSES
SPECIAL EVENTS & MARKETING EXPENSES
MAINTENANCE EXPENSES
SENIOR HOMESTEAD EXEMPTION RELIEF
DEPRECIATION EXPENSES
TOTAL EXPENSES
NET INCOME
BOARD DESIGNATED FUND FOR CAPITAL IMPROVEMENTS
TOTAL CAPITAL IMPROVEMENTS
TOTAL NET BUDGET
BOARD DESIGNATED RESERVE FUND
Projections based on actual and known expenses through May 31, 2014
BAYFRONT PARK MANAGEMENT TRUST
OPERATING & CAPITAL BUDGET SUMMARY
FISCAL YEAR 2014/2015
REQUESTED
BUDGET
FY 14115
$ 317,000
$ 3,578,000
$ 1,950,000
$ 5,845,000
$ 898,480
$ 2,310,500
$ 2,336,020
$ 300,000
$ 5,845,000
$ 2,500,000
$ . 2,500,000
$
$ 1,000,000
APPROVED PROJECTED* APPROVED AUDITED
BUDGET ACTUAL BUDGET ACTUAL
FY 13114 FY 13/14 FY 12/13 FY 12/13
$ 317,000 $ 515,000 $ 282,000 $ 553,693
$ 1,893,000 $ 3,901,500 $ 1,237,000 $ 5,610,152
$ $ - $ - $ -
$ 2,560,000 $ 600,000 $ 871,000 $
$ 4,770,000 $ 5,016,500 $ 2,390,000 $ 6,163,845
$ 743,480 $ 675,200 $ 671,935 $ 605,701
$ 1,204,500 $ 2,359,050 $ 651,295 $ 3,533,644
$ 1,980,020 $ 1,140,250 $ 1,066,770 $ 1,109,670
$ 542,000 $ 542,000 $ - $ -
$ 300,000 $ 300,000 $ $ 297,101
$ 4,770,000 $ 5,016,500 $ 2,390,000 $ 5,546,115
$ $ $ 617,730
$ 3,000,000 $ $ 1,500,000
$ 3,000,000 $ $ 1,500,000
36
REVENUES BY TYPE
REQUESTED BUDGET FY 14/15
6%
32%
0%
[GENERAL REVENUES
[SPECIAL EVENTS & MARKETING REVENUES
[MAINTENANCE REVENUES
[RESERVE FUND TRANSFER
EXPENSES BY TYPE
REQUESTED BUDGET FY 14/15
5% 13%
41%
41%
[ADMINISTRATIVE EXPENSES
[SPECIAL EVENTS 8 MARKETING EXPENSES
[MAINTENANCE EXPENSES
ODEPRECIATIDN EXPENSES
37
$6, 000, 000
$4, 000, 000
$2, 000, 000
$-
REVENUE COMPARISON
LIAUDITED ACTUAL FY 12/13 OREQUESTED BUDGET FY 14/15
GENERAL
REVENUES
SPECIAL EVENTS & MAINTENANCE RESERVE FUND
MARKETING
REVENUES
REVENUES
TRANSFER
4,000,000
3,000,000
2,000,000
1,000,000
$-
EXPENSE COMPARISON
UAUDITED ACTUAL FY 12/13 oREQUESTED BUDGET FY 14/15
ADMINISTRATIVE
EXPENSES
SPECIAL
EVENTS &
MARKETING
EXPENSES
MAINTENANCE
EXPENSES
SENIOR DEPRECIATION
HOMESTEAD EXPENSES
EXEMPTION
RELIEF
BAYFRON T PARK MANAGEMENT TRUST
ORGANIZATIONAL CHART
FISCAL YEAR '14 -' 15
Miami City Commission
Bayfront Park Management Trust
Executive Director
Receptionist / Secretary
Maintenance Supervisor
Turf& Irrigation Specialist
Part -Time Electricians
Independent Contractors
Maintenance Assistant 1
Maintenance Assistant 2
"."i Maintenance Assistant 3 1
Maintenance Assistant 5
Maintenance Assistant 4
1
Contracts & Procurement Officer
Administrative Assistant
Business & Finance Director
HR & Office Coordinator
39
Bookkeeper
Marketing Director
Event Coordinator
Part -Time Event Staff