Loading...
R23-107 RESOLUTION NO. R23-107 2 3 A RESOLUTION OF THE CITY OF BOYNTON BEACH, FLORIDA, 4 ADOPTING A TENTATIVE BUDGET FOR THE FISCAL YEAR 5 BEGINNING OCTOBER 1, 2023, AND ENDING SEPTEMBER 30, 6 2024; PROVIDING FOR SEVERABILITY, CONFLICTS, AND AN 7 EFFECTIVE DATE. 8 9 WHEREAS, a tentative budget has been prepared by the City Manager estimating 10 expenditures, transfers, and revenues of the City of Boynton Beach for the ensuing year, with 11 detailed information, including revenues to be derived from sources other than the ad 12 valorem tax levy, and she has made recommendations as to the amount necessary to be 13 appropriated for the ensuing year; and 14 WHEREAS, the City Commission has conducted a public hearing regarding the 15 proposed millage necessary to be levied to carry on the government of the City for the fiscal 16 year 2023-2024 and has also discussed the tentative budget. 17 NOW, THEREFORE, BE IT RESOLVED BY THE CITY COMMISSION OF THE CITY OF 18 BOYNTON BEACH, FLORIDA: 19 Section 1. The foregoing "Whereas" clauses are hereby ratified and confirmed as 20 being true and correct and are hereby made a specific part of this Resolution upon adoption 21 hereof. 22 Section 2. That the tentative budget of the City of Boynton Beach, Florida,for the 23 fiscal year beginning October 1, 2023 and ending September 30, 2024, a copy of which is 24 attached hereto, is hereby adopted and the appropriations set out therein are hereby made 25 to maintain and carry on the government of the City of Boynton Beach, Florida. 26 Section 3. There is hereby appropriated the sum of $118,561,146 to the General 27 Fund for the payment of operating expenditures, transfers to other funds, and necessary 28 capital outlays for the City Government pursuant to the terms of the above budget. 29 Section 4. That there is hereby appropriated the sum of$3,333,092 to the Traffic 30 Safety Special Revenue Fund for the payment of operating expenditures, transfers to other 31 funds, and necessary capital outlays. 32 1 S:\CA\RESO\Budget\2023-2024 Budget\Tentative Budget-Reso-September 5 2023.Docx 33 Section 5. That there is hereby appropriated the sum of$1,300,965 to the Local 34 Option Gas Tax Special Revenue Fund for the payment of operating expenditures,transfers 35 to other funds, and necessary capital outlays. 36 Section 6. That there is hereby appropriated the sum of $259,978 to the 37 Community Improvements Special Revenue Fund for the payment of operating 38 expenditures, transfers to other funds, and necessary capital outlays. 39 Section 7. That there is hereby appropriated the sum of $71,000 to the Green 40 Building Fund for the payment of operating expenditures, transfers to other funds, and 41 necessary capital outlays 42 Section 8. That there is hereby appropriated the sum of $3,997,912 to the 43 Building Special Revenue Fund for the payment of operating expenditures, transfers to 44 other funds, and necessary capital outlays. 45 Section 9. That there is hereby appropriated the sum of $589,478 to the Public 46 Arts Special Revenue Fund for the payment of operating expenditures, transfers to other 47 funds, and necessary capital outlays. 48 Section 10. That there is hereby appropriated the sum of $600,264 to the 49 Recreation Program Special Revenue Fund for the payment of operating expenditures, 50 transfers to other funds, and necessary capital outlays. 51 Section 11. That there is hereby appropriated the sum of$12,042,390 to the Public 52 Service Tax Debt Service Fund for the purpose of payment operating expenditures, 53 transfers to other funds, and the principal and interest due on the public service tax bonds 54 of the City not subject to statutory exemptions and for redeeming such bonds as they mature. 55 Section 12. That there is hereby appropriated the sum of $6,387,691 to the 56 General Capital Improvement Capital Projects Fund for the payment of transfers to other 57 funds and capital outlays pursuant to the terms of the above budget. 58 Section 13. That there is hereby appropriated the sum of $5,536,700 to the Local 59 Government Surtax Capital Projects Fund for the payment of transfers to other funds and 60 capital outlays pursuant to the terms of the above budget. 61 Section 14. That there is hereby appropriated the sum of$175,260 to the Parks& 2 S:\CA\RESO\Budget\2023-2024 Budget\Tentative Budget-Reso-September 5 2023.Docx 62 Recreation Facilities Trust Fund for the payment of transfers to other funds and capital 63 outlays pursuant to the terms of the above budget. 64 Section 15. That there is hereby appropriated the sum of$60,380,704 to the Water 65 and Sewer Utility Enterprise Fund for operating expenditures, debt service, transfers to 66 other funds, and necessary capital outlay. 67 Section 16. That there is hereby appropriated the sum of$32,820,000 to the Water 68 and Sewer Utility Capital Improvement Enterprise Fund for the payment of capital outlays 69 pursuant to the terms of the above budget. 70 Section 17. That there is hereby appropriated the sum of $2,772,343 to the Golf 71 Course Enterprise Fund for operating expenditures, transfer to other funds, and necessary 72 capital outlays. 73 Section 18. That there is hereby appropriated the sum of $375,056 to the Golf 74 Course CIP Fund for the payment of capital outlays pursuant to the terms of the above 75 budget. 76 Section 19. That there is hereby appropriated the sum of$15,259,265 to the Solid 77 Waste Enterprise Fund for the payment of operating expenditures, transfers to other funds 78 and necessary capital outlays. 79 Section 20. That there is hereby appropriated the sum of $11,389,127 to the 80 Fleet Maintenance Internal Service Fund for the payment of operating expenditures, 81 transfers to other funds, and necessary capital outlays. 82 Section 21. That there is hereby appropriated the sum of $565,273 to the 83 Materials&Distribution Internal Service Fund for the payment of operating expenditures, 84 transfers to other funds, and necessary capital outlays. 85 Section 22. That there is hereby appropriated the sum of $6,886,518 to the Self- 86 Insurance Internal Service Fund for the payment of operating expenditures, transfers to 87 other funds, and necessary capital outlays. 88 Section 23. That there is hereby appropriated the sum of $514,895 the Cemetery 89 Special Revenue Fund for the payment of operating expenditures, transfers to other funds, 90 and necessary capital outlays. 3 S:\CA\RESO\Budget\2023-2024 Budget\Tentative Budget-Reso-September 5 2023.Docx 91 Section 24. A copy of the tentative budget summary shall be published in one issue 92 of a newspaper published in Palm Beach County and at the same time the public will be 93 notified of a public hearing to be held on the 14th day of September, 2023, at 6:00 P.M. for 94 the purpose of hearing suggestions, agreements, objections or criticisms of the final budget 95 and millage. This meeting is for the purpose of setting a final ad valorem tax levy and final 96 budget. 97 Section 25. All delinquent taxes collected during the ensuing fiscal year as 98 proceeds from levies of operation millage of prior years are hereby specifically appropriated 99 for the use of the General Fund. 100 Section 26. If any clause, section or other part of this Resolution shall be held by 101 any court of competent jurisdiction to be unconstitutional or invalid, such unconstitutional 102 or invalid part shall be considered as eliminated and shall in no way affect the validity of the 103 remaining portions of this Resolution. 104 Section 27. All Resolutions or parts of Resolutions in conflict herewith are hereby 105 repealed to the extent of such conflict. 106 Section 28. This Resolution shall become effective immediately upon passage. 107 108 PASSED AND ADOPTED this 5th day of September, 2023. 109 110 CITY OF BOYNTON BEACH, FLORIDA 111 112 YES NO 113 / 114 Mayor—Ty Penserga ✓ 115 / 116 Vice Mayor—Thomas Turkin V 117 118 Commissioner—Angela Cruz 119 120 Commissioner—Woodrow L. Hay 121 122 Commissioner—Aimee Kelley 123 6-O 124 VOTE 125 126 4 S:\CA\RESO\Budget\2023-2024 Budget\Tentative Budget-Reso-September 5 2023.Docx 127 128 ATTEST: 129 130 131 A Alt�1/�i� I � �- 132 Maylee De -sus, MPA MC Ty • . 133 City Cle May, 134 135 APPROVED AS TO FORM: 136 (Corporate Seal) 137 138 OT ON ‘`‘, 139 .4b0 .•••••• 6'E` `►1 David N. Tolces ��QORAre 9� 1 140 f Co�� T • y'1, Interim City Attorney 141 ; y' Av ' $ v: ORP��O� $ g 11 1 • s \‘‘ .......•'• ••gyp. FLOP\ 4• , "Sz. 5 S:\CA\RESO\Budget\2023-2024 Budget\Tentative Budget-Reso-September 5 2023.Docx