HomeMy WebLinkAbout2024-007-476__-_Budget_Ordinance_(1).docxPage 1 of 9
Ordinance No. 2024-007-476
ORDINANCE NO. 2024-007-476
AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF
MIAMI GARDENS, FLORIDA, APPROVING AND
ADOPTING THE CITY’S BUDGET FOR THE 2024-2025
FISCAL YEAR; PROVIDING FOR THE EXPENDITURE OF
FUNDS; AUTHORIZING THE CITY MANAGER TO TAKE
CERTAIN ACTIONS; PROVIDING FOR CARRYOVER OF
FUNDS; PROVIDING FOR INTERFUND TRANSFERS;
PROVIDING FOR AUTOMATIC AMENDMENT;
PROVIDING FOR ADOPTION OF REPRESENTATIONS;
REPEALING ALL ORDINANCES IN CONFLICT;
PROVIDING A SEVERABILITY CLAUSE; PROVIDING FOR
AN EFFECTIVE DATE.
WHEREAS, in accordance with Section 4.5 of the City of Miami Gardens (the
“City”) Charter, the City Council is required to adopt an annual budget for the City, and
WHEREAS, the City Manager has prepared a tentative budget document, a copy of
which is attached and made a part hereto, that details proposed city expenditures and
organizational arrangements for Fiscal Year 2024-2025, and
WHEREAS, the proposed Fiscal Year 2024-2025 budget for the City of Miami
Gardens, included an estimate of revenues and expenditures, and
WHEREAS, the City Manager has provided for various City departments in the
budget, and
WHEREAS, the City Council has determined the amount of money which must be
raised to conduct the affairs of the City as required by City-operating funds, departments,
offices and agencies for Fiscal Year 2024-2025, so that the business of the City may be
conducted on a balanced budget, and
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Ordinance No. 2024-007-476
WHEREAS, the City Council has also determined the amount necessary to be raised
by ad valorem taxes and other taxes or special assessments upon all of the property, real and
personal, within the corporate limits of the City of Miami Gardens, and
WHEREAS, public hearings as required by Section 200.065, Florida Statutes, will be
held by the City on Tuesday, September 10, 2024 at 5:01 p.m., and Wednesday September
25, 2024, at 5:01 p.m. at City Hall, 18605 NW 27 Ave., Miami Gardens, FL 33056, and
WHEREAS, said public hearings have been held as stated above and comments from
the public concerning said budget have been heard and considered, and
WHEREAS, the amount of funds available from taxation and other non-ad valorem
revenues equals the total appropriations for expenditures and reserves, and
WHEREAS, this Budget will authorize that non-bargaining employees be paid 100%
of their earned PTO overages and Charter employees will be paid 50% of their earned PTO
overages, and
WHEREAS, during the course of a budgetary year, the City applies for and/or
receives certain grants and reimbursements, and
WHEREAS, the City does not know the dollar amount of the grants or reimbursements
that will be awarded at the time that the budget is approved, and
WHEREAS, when grants are awarded, reimbursements, unexpected revenues and
donations are accepted by the City, these funds must be accounted for in the budget, and
WHEREAS, it is more expedient to allow the Resolution accepting the grant or
donation to enact the necessary budget transfers and amendments, and
WHEREAS, special events listed by name that are include in the attached Budget
with a specific line item and are hereby approved in accordance with the approval of the
Budget should not need additional authority from the City Council unless they require the
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Ordinance No. 2024-007-476
City Manager to exceed his purchasing authority for said events, as outlined in the Code of
Ordinances,
NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE
CITY OF MIAMI GARDENS, FLORIDA, AS FOLLOWS:
SECTION 1. ADOPTION OF REPRESENTATIONS: The foregoing Whereas Clauses
are hereby ratified and confirmed as being true, and the same are hereby made a specific
part of this Ordinance.
SECTION 2. BUDGET ADOPTION:
A. The following amounts are hereby appropriated for the operation and maintenance of
the City's various governmental departments for the Fiscal Year beginning October 1,
2024, and ending September 30, 2025:
FY 2024-2025
FUND PROPOSED
GENERAL FUND $ 113,446,827
TRANSPORATION FUND 11,899,662
GRANT FUND 650,000
STATE HOUSING INNITIATIVE PROGRAM 557,486
COMMUNITY DEVELOPMENT BLOCK GRANT 1,003,648
IMPACT FEES 5,918,773
FORMULA ONE 444,444
SPECIAL TAXING DISTRICTS 921,081
DEVELOPMENT SERVICES 4,883,020
DEBT SERVICE 8,625,252
CAPITAL PROJECTS 5,348,273
STORMWATER 6,800,599
TOTAL OPERATING APPROPRIATIONS $ 160,499,065
B. The following revenues will be available during Fiscal Year 2024-2025 to meet the
foregoing appropriations:
GENERAL FUND
Property Taxes $ 58,928,516
Franchise Fees 8,614,406
Intergovernmental Revenue 14,905,940
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Ordinance No. 2024-007-476
Utility Taxes 12,126,593
Fines and Forfeitures 3,592,950
Licenses, Permits & Fees 2,683,500
Charges for Services 8,372,093
Grants & Loans 75,000
Miscellaneous 2,236,648
Interfund Transfers 1,911,181
TOTAL REVENUES $ 113,446,827
TRANSPORTATION FUND
Fuel Taxes $ 2,327,673
Intergovernmental Revenue 7,910,792
Fines and Forfeitures 2,800
Licenses, Permits & Fees 402,000
Charges for Services 30,000
Miscellaneous 40,701
Interfund Transfers 242,303
Re-appropriated Fund Balance 943,393
TOTAL REVENUES $ 11,899,662
DEVELOPMENT SERVICES FUND
Licenses, Permits & Fees $ 2,486,129
Charges for Services 317,652
Miscellaneous 74,313
Re-appropriated Fund Balance 2,004,926
TOTAL REVENUES $ 4,883,020
CIP FUND
From General Fund $ 4,524,228
Build America Bonds Rebate 824,045
TOTAL REVENUES $ 5,348,273
STORMWATER FUND
Licenses, Permits & Fees $ 6,321,919
Charges for Services 53,308
Miscellaneous 25,000
Re-appropriated Fund Balance 400,372
TOTAL REVENUES $ 6,800,599
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Ordinance No. 2024-007-476
GRANT FUND
Grants $ 650,000
TOTAL REVENUES $ 650,000
SHIP FUND
SHIP Program $ 557,486
TOTAL REVENUES $ 557,486
COMMUNITY DEVELOPMENT BLOCK GRANT FUND
Grants $ 1,003,648
TOTAL REVENUES $ 1,003,648
SPECIAL TAXING DISTRICT FUND
Special Assessments $ 921,081
TOTAL REVENUES $ 921,081
IMPACT FEES FUND
Re-appropriated Fund Balance $ 5,918,773
TOTAL REVENUES $ 5,918,773
FORMULA ONE FUND
Miscellaneous $ 444,444
TOTAL REVENUES $ 444,444
DEBT SERVICE FUND
Ad Valorem Taxes $ 3,959,821
Transfers In 4,665,431
TOTAL REVENUES $ 8,625,252
SECTION 3. EXPENDITURE OF FUNDS: The City Manager is authorized to expend
or contract for expenditures, pursuant to the Charter of the City of Miami Gardens and
adopted Code of Ordinances, in accordance with the adopted Fiscal Year 2024-2025 budget
and budget detail, which is attached hereto and made a part of this ordinance as if it
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were set forth here in full. The City Manager is hereby authorized to allocate City resources
as deemed necessary.
SECTION 4. AUTHORIZATION TO THE CITY MANAGER: The City Manager
is hereby authorized and empowered to make budgetary transfers, limited to line item
allocations within a single fund, including apportioning budgets within funds to line items in
the Chart of Accounts for the City. Said authority shall include the authority to correct inter-
fund transfers and accounting allocations.
SECTION 5. AUTHORIZATION TO THE CITY MANAGER: The City Manager
is hereby authorized and empowered to amend the budget on an as-needed basis in order to
correct typographical errors or omissions that are purely scriveners’ errors.
SECTION 6. AUTHORIZATION TO THE CITY MANAGER: The City Manager
is hereby authorized to appropriate unanticipated revenues as deemed necessary including
but not limited to accepting grant or donation of funds or upon issuance of a bond or other
municipal debt instrument and re-appropriated “assigned fund balance” for Parks &
Recreation operating purpose for completed projects funded from the General Obligation
Bond.
SECTION 7. AUTHORIZATION TO THE CITY MANAGER: The City Manager
is hereby authorized to carry out all requirements associated with Special Events that are
specifically listed by name in the attached Budget with a specific line item. The City
Manager does not need additional authority from the City Council for the special event,
unless the special event requires the City Manager to exceed his purchasing authority as
outlined in the Code of Ordinances.
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Ordinance No. 2024-007-476
SECTION 8. AUTHORIZATION: Authorizing that non-bargaining employees be
paid 100% of their earned PTO overages and Charter employees be paid 50% of their earned
PTO overages.
SECTION 9. CARRYOVER OF FUNDS: The budget shall also automatically re-
appropriate any encumbrances and outstanding contracts carried forward from fiscal year
2023-24.
SECTION 10. REVENUE MANUAL: All fees shall be set as outlined in the FY 2024-
2025 Revenue Manual and any amendments are included in the FY 2024-2025 Annual
Operating Budget Document. This manual may be amended from time to time during the
fiscal year by City Council by resolution.
SECTION 11. FINANCIAL POLICIES: All policies included under “Financial
Policies” in the FY 2024-2025 Annual Operating Budget Document is adopted and approved
by Council. The policies may be amended from time to time during the fiscal year by City
Council by resolution.
SECTION 12. INTERFUND TRANSFERS: The City Manager is authorized to
effectuate all interfund transfers anticipated by this budget to include line items classified as
‘Transfers to,’ and ‘Transfers from’ regardless of fund.
SECTION 13. INSTRUCTIONS TO THE CITY MANAGER: The City Manager is
authorized to take all actions necessary to implement the terms and conditions of this
Ordinance.
SECTION 14. CONFLICT: All ordinances or Code provisions in conflict herewith
are hereby repealed.
SECTION 15. SEVERABILITY: If any section, subsection, sentence, clause, phrase
or portion of this Ordinance is for any reason held invalid or unconstitutional by any court of
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competent jurisdiction, such portion shall be deemed a separate, distinct and independent
provision and such holding shall not affect the validity of the remaining portions of this
Ordinance.
SECTION 16. EFFECTIVE DATE: This ordinance shall become effective
immediately upon its final passage.
PASSED ON FIRST READING IN FULL ON THE 10TH DAY OF SEPTEMBER 2024.
ADOPTED AND PASSED ON SECOND READING BY THE CITY COUNCIL OF THE
CITY OF MIAMI GARDENS AT ITS SPECIAL MEETING HELD ON THE 25TH DAY OF
SEPTEMBER 2024.
RODNEY HARRIS, MAYOR
ATTEST:
MARIO BATAILLE, CMC, CITY CLERK
Reviewed by: SONJA K. DICKENS, ESQ., City Attorney
SPONSORED BY: Cameron Benson, City Manager
1st READING MOVED BY: Councilman Leon
1st READING SECONDED BY: Councilman Stephens
1st READING VOTE: 7-0
Mayor Harris Yes
Vice Mayor Wilson Yes
Councilwoman Baskin Yes
Councilman Leon Yes
Councilwoman Powell Yes
Councilwoman Julien Yes
Councilman Stephens, III Yes
2nd READING MOVED BY: Councilman Leon
2nd READING SECONDED BY: Councilwoman Baskin
2nd READING VOTE: 7-0
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Ordinance No. 2024-007-476
Mayor Harris Yes
Vice Mayor Wilson Yes
Councilwoman Baskin Yes
Councilman Leon Yes
Councilwoman Powell Yes
Councilwoman Julien Yes
Councilman Stephens, III Yes
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