HomeMy WebLinkAboutExhibit AFY 2017 AMENDED BUDGET
4/10/2017
OMNI TAX INCREMENT FUND BUDGET
FY 2017
AMENDED
BUDGET
FY 2017
PROPOSED
BUDGET
BUDGET
VARIANCE
REVENUES
CITY OF MIAMI -TAX INCREMENT
$10,574,483
$10,796,854
-$224,371
MIAMI DADE COUNTY - TAX INCREMENT (ORIGINAL BOUNDARIES)
S6,453,941
$6,453,941
$0
CITY OF MIAMI - TAX INCREMENT (2009 ADDITION EXPANDED BOUNDARIES)
$240,252
$240,252
$0
MIAMI DADE COUNTY - TAX INCREMENT (2009 ADDITION EXPANDED BOUNDARIES)
$146,633
$146,633
$0
Total TIF Revenues $17,415,309
TRANSFER FROM MIDTOWN CRA (Administration)
$46,632
$0
$46,632
RENT INCOME -MEC
$100,000
5100,000
50
OTHER INCOME - MEC (REIMBURSEMENT FOR 2016 PROPERTY TAXES)
$178,177
$112,688
$65,489
RENT INCOME - 1401 LLC
$101,481
$101,481
$0
MIDTOWN CRA- CONTRIBUTION TO CRA OPERATING BUDGET
$0
$0
$0
LAND
50
$0
$0
FUND BALANCE - OMNICRAOPERATINGBUDGET
$0
$0
$0
2017 CHILDREN TRUST CONTRIBUTION
$713,820
$0
$713,820
AUDITED FUND BALANCE @ 9/30/2016
$7,779,059
$9,151,422
-$1,372,363
TOTAL REVENUE
$26,334,478
27,105,271
4770,793
REDEVELOPMENT EXPENDITURES
ACCOUNTING AND AUDIT
$15,000
$15,000
$0
PROFESSIONAL SERVICES - OTHER
$354,700
$361,000
-$6,300
OTHER CONTRACTUAL SERVICES
$671,657
$300,000
$371,657
INTERFUND TRANSFER (Debt Service)
$4,249,500
$4,249,500
$0
INTERFUND TRANSFER (Grant)
$1,455,033
$844,015
$611,018
PURCHASE OF REAL ESTATE
$2,000,000
$0
52,000,000
OTHER CURRENT CHARGE
$6,095,358
$6,173,888
-$78,530
CONSTRUCTION IN PROGRESS
50
$0
$0
OTHER GRANTS AND AIDS
$7,232,765
$9,773,510
-$2,540,745
ADMINISTRATIVE EXPENDITURES
REGULAR SALARIES
$$32,060
$355,500
$176,560
FICA TAXES
$40,703
$27,186
513,507
LIFE AND HEALTH INSURANCE
$48,000
$48,000
$0
RETIREMENT CONTRIBUTION
$20,600
$18,625
$1,975
FRINGE BENEFITS
$24,150
$9,900
$14,250
OTHER CONTRACTUAL SERVICE
$20,000
$20,000
$0
TRAVEL AND PER DIEM
$30,000
$30,000
$0
COMMUNICATIONS
$0
$0
$0
UTILITY SERVICE
$20,300
$20,300
$0
INSURANCE
$104,166
$104,166
50
OTHER CURRENT CHARGE
$214,271
$128,355
$84,816
SUPPLIES
$5,000
$5,000
$0
OPERATING SUPPLIES
$5,000
$5,000
S0
SUBSCRIPTION MEMBERSHIP
$17,000
$17,000
$0
MACHINERY AND EQUIPMENT
$24,000
$6,000
$18,000
ADVERTISING
$30,000
$40,000
-510,000
RENTAL AND LEASES
$3,600
$3,600
$0
POSTAGE
$2,000
$2,000
$0
REPAIR/MAINTENANCE - OUTSIDE
$2,000
$2,000
$0
INTERFUND TRANSFER
517,500
$17,500
$0
Taw administrative Expenditure' $1.140,350
RESERVE FOR MIDTOWN ADM EXPENDITURES
$46,632
$0
$46,632
RESERVE FOR SECURITY DEPOSIT- MEC
$125,000
$125,000
$0
RESERVE FOR SECURITY DEPOSIT - 1401 GROUP LLC
$40,000
$40,000
$0
RESERVE FOR CAPITAL EXPENDITURES
$377,135
$362,216
S14,919
RESERVE FOR PAYMENT OF PROPERTY TAXES -MEC
$178,177
$0
$178,177
FY 2017 BUDGET RESERVE
$2,333,170
$4,000,000
-51,666,830
TOTAL FUND BALANCE
$26,334,478
$27,105,271
-$770,794
A)
B)
C}
2017 TIF Revenue
2017 TIF Rev for Affordable Housing
% 2017 Budget for Affordable Housing
S0
50
$17,415,309
$1,741,531 Refer to Mem 10 and N - Other Grant.
10%
2017 TIF Revenue $17,415,309
2017 Administrative Expenditures $1,160,350
%Administrative Exp / 2017 TIF Revenue 7%
2017 Budget Reserve $2,333,170
Total 2017 Budget $26,334,478
2017 Budget Reserve / Total 2017 Budget 9%
1
Description
Category
Approval Date
Reso #
Amount
Budgeted
Amount
Expended
Remaining
Balance
Accounting and Audit
1
External Auditing Services to
the OMNI CRA - 5anson, Kline,
Jacomino, Tandoc & Gamarra,
LLP
Administration
7/29/2016
16-0033
$15,000
$0
$15,000
Professional Services - Other
2
Lobbyists
Administration
NR
$35,000
$0
$35,000
3
Available for Other Professional
Services
Administration
NR
$268,150
$0
$268,150
4
Financial Support Consultant
Administration
12/14/2016
16-0064
$42,850
$6,300
$36,550
5
Pub6ic Relation Service
Administration
NR
$15,000
$0
$15,000
Other Contractual Services
6
Horsepower Street Light
Maintenance
Quality of Life
NR
$25,000
$5,643
$19,357
7
Landscaping Service
Quality of Life
NR
$25,000
$3,700
$21,30
B
Design, planning and
construction related services
for the CRA, related to the
Neighborhood Park and
Community Event Space
located on certain parcels
abutting interstate 395.
Quality of Life
12/14/2016
16-0065
$325,000
SO
$325,00
9
Consultant fees for
construction of Neighborhood
Park and other related
expenses.
Quality of Life
12/14/2016
Per contract
$56,000
so-
$56,00
10
CRA Consultants
Administration
NR
$150,000
so
$150,00
11
Available for Other Contractual
Services -Proposed Budget
$250,000 - $150,000 allocated
to Other Consultants
Administration
NR
$100,000
so
$100,00
Subtofaf
$1,057,000
$15,643
$1,041,35
Total Budget Amount (Professional Services - Legal, Accounting and Audit, Professional Services - Other and Other
NR - No CRA Resolution
R - CRA Resolution Passed
$664,807
$376,550
$1,041,357
Fundin
Source
Carryover
FY 2017
Fund
1-IF
Balance
Revenue
S15,000
50
$35,000
$0
$268,150
$0
$36,550
$0
$15,000
$0
$19,357
$0
$21,300
$o
$325,000
$0
$56,000
$150,000
$0
$100,000
$0
$1,041,357.
$0
$1,041,357
$0
$1,041,357
$15,000
$354,700
$671,657
2
Description
Category
Approval Date
Reso 8
Amount
Budgeted
Amount
Expended
Remaining
Balance
Interfund Transfer (Debt Service),
1
Transfer Out to the City of
Miami for the payment of the
Port of Miami Tunnel Series
2012
Debt Service
Dec-07
2007 Global
Agreement
$4,249,500
$0
$4,249,500
Other Current Charges and Obligations
2
Estimated 2007 Global
Agreement Payment -
Performing Art Center
Infrastructure
Dec-07
2007 Global
Agreement
$6,095,358
$0
$6,095,358
3
Available for real estate
acquisition
Infrastructure
NR
$2,000,000
so
$ 2,000,000
Interfund Transfer (Grant)
4
2015-2016 Policing Services -
Clty of Miami
Quality of Life
1D/22/2015
15-0043
$710,000
$468, 787
$241,213
5
Grant to the City of Miami
Police Department for the
Expanded Polite Program
Quality of Life
12/14/2016
16-0063
$500,000
$0
$500,000
6
2017 Children Trust
Contribution
Quality of Life
Dec-07
Interlocal
Agreement
S713,820
$0
$713,82
Subtotal
$13,554,858
$468,787
$13,086,07
Fundin
Source
Carryover
FY 2017
Fund Balance
TIF
Revenue
$0
$4,249,500
$0
$6,095,358
$0
$2,000,000
$241,213
$0
$0
$500,000
$0
$713,820
$241,213
$13,558,678
$241,213
$13,558,678
Total Budget Amount (Interfund Transfer (Debt Service), Debt Service, Purchase of Land and Interfund Transfer (Grant) $13,799,891
NR - No CRA Resolution $2,000,000
R - CRA Resolution Passed $11,799,891
$13,799,891
$4,249,500
$6,095,358
$2,000,000
$1,455,033
3
Funding Source
Description
Category
Approval Date
Reso #
Amount
Budgeted
Amount
Expended
Remaining
Balance
Carryover
Fund
Balance
FY 2017
TIF
Revenue
Other Grants and Ards
1
Grant to the Perez Art
Museum of Miami Dade
County for various
community benefits to the
redevelopment area.
Art and Culture
7/29/2016
16-0039
$1,000,000
$571,531
$428,469
$428,469
$0
2
1401 Rest LLC - Lessor's
Contribution to leasehold
improvements - Grease
Trap and Hood System
Job Creation
6/13/2013
13-0036
$50,000
$0
$60,000
$60,000
$0
3
Grant to Chapman House
for Facade Improvement
Program
Infrastructure
12/14/2016
16-0058
$60,000
$0
$60,000
$60,000
50
4
Guitars over Guns
Art and Culture
NR
$185,000
$0
$185,000
$185,000
$0
5
Community Initiatives -
Proposed Budget $100,000
(Funds allocated to Budget
Reserve)
Art and Culture
NR
$0
50
$0
$0
$0
6
Arts In the Park/Pop Up
Parks - Proposed Budget
$750,000 ($325,000
allocated to Urban
Temporary Park - CRA R -
16-0065 and $425,000 to
Budget Reserve)
Art and Culture
NR
$0
$0
$0
50
$0
7
Matching funds obligation
under the Florida Inldan
Navigation District Grant
for Phase 2 - Miami
Woman'sClub Baywalk
Project - CIP Project
Infrastructure
3/28/2013
13-0017
$150,000
$26,214
$123,786
$123,786
$0
8
Available for 8u5rnesS
Initiatives and Job Creation
Programs - Proceeds from
sale of land -14th St DEV
LLC - $1,253,649 - CRA-R-15
0021- Proposed Budget
Job Creation /
Quality of Life
NR
$0
$0
$0
$0
$0
9
Dorsey Library - Project
Cost - CIP Protect - Funds
derived from sale of land -
14th St DEV LLC -
$1,253,649 - CRA R -15-
0021
Infrastructure
CIP
Approved
Protect
$850,000
$0
$850,000
$850,000
$0
10
Available TIF funds for
Affordable Housing Projects
- Original Amount
$1,741,530.90
Affordable
Housing
9/13/2016
16-0040
$1,041,531
$0
$1,041,531
50
$1,041,531
11
Grant to Rebuilding
Together Miami -Dade Inc.
to provide partial funding
for a home improvement
facade and quality life
program.
Affordable
Housing
12/14/2016
16-0061
$700,000
$0
$700,000
$0
$700,000
12
Grant to Legidu
Management Services, Inc
to provide funding far
"Business Rehabilitation
Grant Programs"
Affordable
Housing
12/14/2016
16-0062
$905,000
$0
$905,000
5905,000
$0
13
Grant to Camillus House,
Inc. for the "Miami Shelter
Program"
Quality of Life
12/14/2016
16.0059
$175,000
$0
$175,000
$175,000
$0
4
14
Miami Downtown
Development Authority to
expand the Downtown
Enhancement Team (Purple
Shirts)
Quality of Life
12/14/2016
16-0057
$50,000
$0
$50,000
$50,000
$0
15
Available for Business
Initiatives and Job Creation
Programs - Proposed
Budget$502,107 allocated
to Grant to Legido
Management Services, Inc
Job Creation /
Quality of Life
NR
$0
$0
$0
$0
$0
16
Museum Park Remediation
Project B-30538. CIP Project
funded with OMNI TIF
Funds.
Infrastructure
CIP
Approved
Project
$175,000
$0
$175,000
$175,000
$0
17
Contribution to the City of
Miami -TRI Rail Project
Infrastructure
6/25/2015
5/26/2016
15-0022
$3,754,000
$1,271,021
$2,478,979
$845,675
$1,633,304
Subtotal
$9,1010531
$1,868,766
$7,232,765
$3,857,930
$3,374,835
$3,857,930
$3,374,835
Total Budget Amount Other Grants and Aids
NR - No CRA Resolution
R - CRA Resolution Passed
$185,000
$7,047,765
$7,232,765
$7,232,765
5
Position
Executive Director - OMNI
Executive Director- Midtown {Reimbursed by Midtown CRA)
Assistant Executive Director $75,000
Chief Legal Officer $70,000
Director of Policy and Planning $57,500
Cash Out Accumulated Annual Leave Cash Out - Former Assistant Executive Director
(Balance @ 4/7/17 - 739)
Cash Out of 200 hours of annual leave in FY 2017 Cash Out - Former Assistant Executive
Former Assistant Director Salary (Oct 2016 - April 2017)
Assistant to the Executive Director
Community Liaison
Intern ($10/Hour)
Compensated Absences
Regular Salaries
Fica taxes
Health/Dental/Vision Insurance
OMNI CRA Staff
Contingency
Life and Health Insurance
Retirement Contribution (401K)
Executive Director
Assistant Executive Director
Assistant to the Executive Director
Community Liaison
Chief Legal Officer
Director of Policy and Planning
Retirement Contribution
Car Allowance
Executive Director - OMNI
Executive Director - Midtown (Reimbursed by Midtown CRA)
Former Assistant Director ($300 x 7 months (Oct 2016 - April 2017)
Assistant Executive Director ($300 x 5 months)
Chief Legal Officer
Cell Phone Allowance
Executive Director - OMNI
Executive Director - Midtown (Reimbursed by Midtown CRA)
Assistant Executive Director
Former Assistant Director ($150 x 7 months (Oct 2016 - April 2017)
Chief Legal Officer
Director of Policy and Planning
Fringe Benefits
ADP - Payroll Processing Fee (26 payroll periods X $150)
Janitorial Service / Supplies
Circle Security Solutions
Comcast
OTIS Elevator Maintenance Service
Other Contractual Services
To include cost for travel out of the city for conferences and travel allowances.
Travel and Per Diem
FPL - Fire House
Miami Water and Sewer
Contingency
Utility Service
Property Insurance/General/Liability Insurance (MEC)
Property Insurance/General/Liability Insurance (Fire Station No 2)
Workers Compensation (CRA Staff)
Insurance
To include the cost of food associated to CRA Meetings/Ribbon Cutting
To include the cost of miscellaneous supplies.
Sale Tax -1401 Rest LLC
Sale Tax - EUE / Screen Gems LTD, Inc MEC
OMNI
$120,000
$2,740
$50,000
$46,667
$38,333
$32,516
$8,846
$53,667
$43,000
$42,000
$20,800
$73,491
I $532,060 I
$40,703
$40,703I
$48,000
$5,000
$48,000
$9,600
$2,500
$2,150
$2,100
$2,333
$1,917
$20,6OO J
$3,600
$6,000
$2,100
$1,500
$2,400
$1,200
$2,400
$1,500
$1,050
$1,200
$1,200
$24,150
$3,900
$9,000
$2,700
$2,400
$2,000
I $20,000 I
$30,000
$30,000
$10,800
$3,500
$6,000
1 $20,300 I
$71,166
$28,000
$5,000
[ $104,166
$5,000
$2,000
$8,223
$20,872
6
2016 MEC Property Taxes
Other Current Charges
To include supplies necessary for use in the operation of an office, such as copy
Supplies
To include other supplies not office related, Ex. Misc. Project Construction and
Operating Supplies
$178,177
[ $214,2711
55,000
$s,aoo [
$5,000
[ $5,000 I
To include the cost of memberships to organization, Microsoft license, and $17,000
Subscription Membership
Purchase of Vehicle
To include the cost of new computers
Machinery and Equipment
To include the expenses of placing advertisements in the newspapers or other
Advertising
Konica Minolta Copier
Rental and Leases
To include the cost of stamps or other related Item. Distribution of newsletter
Postage
To include the cost associated to any office/truck repair.
Repair / Maintenance - Outside
To Include transfer of funds to the City of Miami Office of the City Clerk for
Interfund Transfer
Total FY 2017 Amended Budget - Recurrent Expenditures
$17,000
$18,000
$6,000
$24,000
$30,000
$30,000
$3,600
$3,600
$7,000
$
$2,000
$2, 000
$ 17,500
[ $17,500I
$1,160,350
7