CITY OF TITUSVILLE


ADOPTED BUDGET FY 2019


Administration

City Council

FY 2015


5.0

FY 2016


5.0

FY 2017


5.0

FY 2018


5.0

FY 2019


5.0

City Attorney

3.0

3.5

3.5

3.5

3.5

City Manager

3.0

3.0

3.0

3.0

3.0

Community Relations

3.0

0.0

0.0

0.0

0.0

Economic Development

1.5

0.0

0.0

0.0

0.0

City Clerk

6.0

6.0

7.0

7.0

7.0


Administration

City Council

FY 2015


5.0

FY 2016


5.0

FY 2017


5.0

FY 2018


5.0

FY 2019


5.0

City Attorney

3.0

3.5

3.5

3.5

3.5

City Manager

3.0

3.0

3.0

3.0

3.0

Community Relations

3.0

0.0

0.0

0.0

0.0

Economic Development

1.5

0.0

0.0

0.0

0.0

City Clerk

6.0

6.0

7.0

7.0

7.0

FIVE YEAR HISTORY OF BUDGETED PERSONNEL


Total Full-Time Equivalent Positions

21.5

17.5

18.5

18.5

18.5


Operations

Fire & Emergency Services Police

Public Works Water Resources


61.5

139.0

79.0

111.0


62.0

139.5

90.0

98.0


63.0

142.5

93.0

99.0


73.0

146.0

93.0

99.0


70.0 (1)

148.0 (2)

93.0 (3)

99.0

Total Full-Time Equivalent Positions

390.5

389.5

397.5

411.0

410.0


Community Development

0.0

28.5

31.5

32.5

32.5

(4)

Planning & Growth Management

10.0

0.0

0.0

0.0

0.0

Development Services

15.0

0.0

0.0

0.0

0.0

Total Full-Time Equivalent Positions

25.0

28.5

31.5

32.5

32.5


Support Services

Support Services


2.0


2.0


2.0


2.0


2.0

Human Resources

6.0

6.0

6.0

6.0

6.0

Finance

11.0

11.5

11.5

11.5

11.5

Customer Service

9.0

11.0

13.0

13.0

13.0

Information Technology

8.0

8.0

8.0

8.0

8.0

Purchasing & Contracts

4.0

4.0

4.0

4.0

4.0

Community Relations

0.0

3.0

3.0

3.0

3.0

Total Full-Time Equivalent Positions

40.0

45.5

47.5

47.5

47.5


Total Full-Time Equivalent Positions


477.0


481.0


495.0


509.5


508.5



ADOPTED FY 2019:

  1. Eliminated 3 Firefighters (-3.0 FTE), 1.0 FTE Administrative Assistant unfunded.

  2. 3.0 FTE Police Officers added (1.0 to fill at midyear), 1.0 FTE Sr. Account Clerk eliminated.

  3. 1.0 FTE Survey Aide II unfunded, 1.0 FTE Chief Mechanic unfunded, and 1.0 FTE Service Worker unfunded.

  4. 1.0 FTE Development Services Inspector unfunded and 1.0 FTE Development Site Inspector unfunded.


51


Titusville City Seal

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Titusville City Seal

CITY OF TITUSVILLE

FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



image

FUND: 001 - GENERAL FUND


REVISED % OF FY2019 % OF % CHANGE

ACTUAL ACTUAL BUDGET REVISED ADOPTED PROPOSED FY2018 TO FY2016 FY2017 FY2018 BUDGET BUDGET BUDGET FY2019

image


PROPERTY TAXES

311.10-00 AD VALOREM TAXES CURRENT

10,552,663

11,134,560

12,453,775

99.52%

14,216,972

99.58%

14.16%

311.20-00 DELINQUENT

470,498

352,858

60,000

0.48%

60,000

0.42%

­

TOTAL PROPERTY TAXES

$11,023,162

$11,487,418

$12,513,775

28.31%

$14,276,972

31.82%

14.09%


UTILITY AND FRANCHISE TAXES

314.10-00 ELECTRICITY

3,287,551

3,374,802

2,974,213

76.61%

3,206,152

77.00%

7.80%

314.30-00 WATER

689,329

712,811

711,992

18.34%

756,272

18.16%

6.22%

314.40-00 GAS

192,542

213,812

195,945

5.05%

201,555

4.84%

2.86%

TOTAL UTILITY AND FRANCHISE TAXES

$4,169,422

$4,301,425

$3,882,150

8.78%

$4,163,979

9.28%

7.26%


PERMITS FEES & SPEC ASSMT

321.10-01 OCCUPATIONAL LICENSES - GENERAL

140,616

158,642

160,000

3.23%

160,000

3.59%

­

321.10-02 OCCUPATIONAL LICENSES - ECONOMIC DEVELOPMENT

139,915

151,609

155,000

3.13%

160,000

3.59%

3.23%

321.10-03 OCCUPATIONAL LICENSES - COUNTY - ECON DEV

9,485

8,314

9,231

0.19%

12,000

0.27%

30.00%

321.10-05 OCCUPATIONAL LICENSES - COUNTY

9,485

8,314

12,000

0.24%

12,000

0.27%

­

322.10-01 BUILDING PERMITS - GENERAL

868,188

1,178,035

1,295,000

26.15%

660,000

14.82%

(49.03%)

322.10-05 BUILDING PERMITS - PLAN EXAMINATION

-

50

80,000

1.62%

215,000

4.83%

168.75%

323.10-00 FRANCHISE FEE ELECTRICITY

2,559,321

2,604,822

2,523,362

50.95%

2,495,413

56.03%

(1.11%)

323.40-00 FRANCHISE FEE GAS

136,603

120,554

154,200

3.11%

154,200

3.46%

­

323.70-00 FRANCHISE FEE SOLID WASTE

399,518

475,840

396,800

8.01%

424,000

9.52%

6.85%

323.71-00 FRANCHISE FEE RECYCLE

21,142

(3,723)

26,500

0.54%

35,400

0.79%

33.58%

323.90-00 FRANCHISE FEE OTHER

24,449

42,416

36,000

0.73%

31,900

0.72%

(11.39%)

329.10-06 OTHER PERMITS AND FEES - BUILDING EDUCATION

28,310

150,128

18,000

0.36%

24,000

0.54%

33.33%

329.20-01 OTHER PERMITS AND FEES - DCA SURCHARGE

2,448

1,943

6,000

0.12%

6,000

0.13%

­

329.30-01 OTHER PERMITS AND FEES - BCAIB SURCHARGE

2,643

1,263

6,000

0.12%

6,000

0.13%

­

329.40-01 OTHER PERMITS AND FEES - VACANT-ABANDONED PROPERTY

79,948

46,050

75,000

1.51%

57,892

1.30%

(22.81%)

TOTAL PERMITS FEES & SPEC ASSMT

$4,422,070

$4,944,257

$4,953,093

11.21%

$4,453,805

9.93%

(10.08%)


INTERGOVERNMENTAL REVENUES

312.41-00 LOCAL OPTION GAS TAX

1,072,899

1,185,532

1,011,049

12.57%

1,098,986

13.61%

8.70%

319.10-00 SIMPLIFIED COMMUNICATION

1,329,673

1,244,154

1,346,623

16.75%

1,309,933

16.22%

(2.72%)

331.20-04 PUBLIC SAFETY - BULLETPROOF VEST GRANT

5,141

9,914

14,826

0.18%

-

-

(100.00%)

331.20-07 PUBLIC SAFETY - JAG

20,416

22,915

31,486

0.39%

-

-

(100.00%)

331.20-10 PUBLIC SAFETY - SAFER GRANT

-

-

276,664

3.44%

256,272

3.17%

(7.37%)

331.50-00 ECONOMIC ENVIRONMENT

-

-

40,000

0.50%

-

-

(100.00%)

334.10-00 STATE OF FLORIDA GRANT

-

-

50,000

0.62%

-

-

(100.00%)

334.20-02 STATE GRANT - VICTIMS OF CRIME ACT-VOCA

48,979

47,170

49,183

0.61%

-

-

(100.00%)

334.49-01 STATE FDOT GRANT - MEDIAN AGREEMENT

93,450

46,725

93,450

1.16%

93,450

1.16%

­

334.49-02 STATE FDOT GRANT - TRAFFIC SIGNAL MAINT

110,352

147,820

110,352

1.37%

120,046

1.49%

8.78%

334.49-03 STATE FDOT GRANT - STREET LIGHT MAINT

143,512

113,655

143,512

1.78%

143,512

1.78%

­

335.12-00 STATE REVENUE SHARING

1,702,269

1,849,901

1,886,338

23.46%

1,992,615

24.67%

5.63%

335.14-00 MOBILE HOME LICENSES

22,018

23,042

23,000

0.29%

23,000

0.28%

­

335.15-00 ALCOHOLIC BEVERAGE LICEN

25,569

24,840

26,000

0.32%

26,000

0.32%

­

335.18-00 HALF-CENT SALES TAX

2,461,528

2,460,549

2,817,455

35.04%

2,907,761

36.01%

3.21%

335.20-01 PUBLIC SAFETY - ST FF SUPPLEMENTAL COMP

9,590

18,720

18,720

0.23%

18,120

0.22%

(3.21%)

335.40-01 TRANSPORTATION - MOTOR VEH TAX GENERAL

4,571

37,315

13,104

0.16%

18,971

0.23%

44.77%

338.10-01 SHARED REVENUE - 911 EMERGENCY FEE

199

-

-

-

-

-

­

338.10-10 SHARED REVENUE - INGOVT RADIO FINES

22,036

16,674

40,000

0.50%

18,000

0.22%

(55.00%)

339.10-01 PAYMENT IN LIEU OF TAX - TITUS HOUSING AUTHORIT

52,291

105,598

49,116

0.61%

49,116

0.61%

­

TOTAL INTERGOVERNMENTAL REVENUES

$7,124,492

$7,354,524

$8,040,878

18.19%

$8,075,782

18.00%

0.43%


53


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


CHARGES FOR SERVICES

341.90-02 CHARGES FOR SERVICES - PLANNING

36,761

27,911

25,000

0.61%

21,000

0.44%

(16.00%)

341.90-03 CHARGES FOR SERVICES - ENGINEERING SERVICES

286,799

210,094

125,000

3.05%

184,000

3.89%

47.20%

341.90-04 CHARGES FOR SERVICES - REIMBURSEMENT AD

7,755

5,525

-

-

-

-

-

341.90-07 CHARGES FOR SERVICES - CERTIFICATION & RECORD

151

54

-

-

-

-

-

341.90-16 CHARGES FOR SERVICES - COPY / CERTIFICATION

4,218

4,573

-

-

-

-

-

341.90-30 CHARGES FOR SERVICES - HR PENSION BOARD SVC

23,676

5,919

-

-

-

-

-

341.90-51 CHARGES FOR SERVICES - PROPERTY LIEN RESEARCH

47,595

45,026

25,000

0.61%

35,000

0.74%

40.00%

341.91-04 GENERAL FUND ADMIN FEES - CRA

7,445

30,749

25,195

0.61%

31,691

0.67%

25.78%

341.94-01 GENERAL FUND ADMIN FEES - W & S ADMIN

1,976,150

2,090,292

2,142,081

52.28%

2,410,040

50.90%

12.51%

341.94-04 GENERAL FUND ADMIN FEES - SOLID WASTE

665,045

710,578

593,901

14.49%

692,871

14.63%

16.66%

341.94-06 GENERAL FUND ADMIN FEES - STORMWATER

372,727

439,740

252,870

6.17%

318,072

6.72%

25.78%

341.95-01 GENERAL FUND ADMIN FEES - FLEET

175,852

219,250

200,235

4.89%

251,865

5.32%

25.78%

341.95-02 GENERAL FUND ADMIN FEES - MIS

149,589

189,853

180,694

4.41%

227,285

4.80%

25.78%

342.10-02 POLICE SERVICES - SCHOOL RESOURCE OFFICER

127,200

130,000

247,000

6.03%

351,000

7.41%

42.11%

342.10-05 POLICE SERVICES - REIMB OT

40,066

12,216

30,000

0.73%

30,000

0.63%

-

342.10-09 POLICE SERVICES - FUNERAL ESCORTS

10,885

4,572

3,000

0.07%

2,400

0.05%

(20.00%)

342.10-13 POLICE SERVICES - OUTSIDE EMPLOYMENT OTHER

209,719

98,341

129,000

3.15%

85,000

1.80%

(34.11%)

342.10-99 POLICE SERVICES - MISCELLANEOUS

527

77

-

-

-

-

-

342.20-01 FIRE PROTECTION SERVICES - INSPECTIONS

95,249

91,584

95,000

2.32%

93,000

1.96%

(2.11%)

342.20-02 FIRE PROTECTION SERVICES - INSPECTION ADMIN

-

43

-

-

-

-

-

342.20-99 FIRE PROTECTION SERVICES - MISCELLANEOUS

19,742

34,823

23,566

0.58%

2,000

0.04%

(91.51%)

343.90-30 PHYSICAL ENVIRONMENT - SERVICE CHARGE

78,272

88,500

-

-

-

-

-

347.40-01 SPECIAL EVENTS - PERMIT APPLICATION FEES

900

1,400

-

-

-

-

-

TOTAL CHARGES FOR SERVICES

$4,336,322

$4,441,119

$4,097,542

9.27%

$4,735,224

10.55%

15.56%


FINES AND FORFEITURES

354.10-10 FINES & FORFEITURES - COURT FINES

82,774

65,361

80,000

22.54%

70,000

33.82%

(12.50%)

354.10-20 FINES & FORFEITURES - POLICE EDUCATION

12,435

9,727

12,000

3.38%

9,000

4.35%

(25.00%)

354.10-30 FINES & FORFEITURES - FALSE ALARMS - POLICE

27,430

24,830

15,000

4.23%

18,000

8.70%

20.00%

354.10-31 FINES & FORFEITURES - PARKING FINES

-

740

-

-

-

-

-

354.10-32 FINES & FORFEITURES - SCHOOL CROSSING GDS PROG

-

120

-

-

-

-

-

354.10-35 FINES & FORFEITURES - FALSE ALARMS - FIRE

9,814

33,721

12,000

3.38%

13,500

6.52%

12.50%

354.10-40 FINES & FORFEITURES - CODE ENFORCEMENT

126,202

147,776

235,931

66.47%

96,500

46.62%

(59.10%)

TOTAL FINES AND FORFEITURES

$258,655

$282,275

$354,931

0.80%

$207,000

0.46%

(41.68%)


INVESTMENT EARNINGS

361.15-10 INTEREST ON INVESTMENTS - CUSTODIAL INTEREST - PE

114,298

80,254

100,000

100.00%

90,000

100.00%

(10.00%)

361.30-00 NET INC/DEC MARKET VALUE

(10,695)

18,819

-

-

-

-

-

TOTAL INVESTMENT EARNINGS

$103,603

$99,072

$100,000

0.23%

$90,000

0.20%

(10.00%)


PRIOR YEAR APPROPRIATIONS

389.11-01 PRIOR YEAR APPROPRIATION - UNASSIGNED

-

-

298,206

5.02%

244,265

4.12%

(18.09%)

389.11-02 PRIOR YEAR APPROPRIATION - ASSIGNED

-

-

310,072

5.22%

160,000

2.70%

(48.40%)

389.11-03 PRIOR YEAR APPROPRIATION - COMMITTED

-

-

4,992,557

84.04%

5,450,000

91.84%

9.16%

389.11-04 PRIOR YEAR APPROPRIATION - RESTRICTED

-

-

339,991

5.72%

80,000

1.35%

(76.47%)

TOTAL PRIOR YEAR APPROPRIATIONS

-

-

$5,940,826

13.44%

$5,934,265

13.23%

(0.11%)


54


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


MISCELLANEOUS REVENUES


362.10-19 RENTS & ROYALTIES - HARRY T MOORE RENT


-


15,037


-


-


-


-


­

362.10-21 RENTS & ROYALTIES - HARRY T MOORE TELEPHONE

-

(18)

-

-

-

-

­

362.10-23 RENTS & ROYALTIES - WELC.CNT.BIKE SHOP RENT

-

5,297

-

-

-

-

­

364.10-00 DISPOSITION FIXED ASSETS

4,963

14,522

10,000

5.05%

10,000

7.66%

­

365.10-00 SURPLUS MATERIALS/SCRAP

4,809

-

-

-

-

-

­

366.10-01 DONATIONS - GEN PUBLIC EDUCATION

525

-

300

0.15%

-

-

(100.00%)

366.10-09 DONATIONS - CHILD SAFETY SEAT

625

268

1,200

0.61%

600

0.46%

(50.00%)

366.10-10 DONATIONS - PRIVATE SOURCES

46,254

62,756

92,706

46.84%

60,000

45.94%

(35.28%)

366.10-11 DONATIONS - FLAG CONTRIBUTIONS

600

2,658

-

-

-

-

­

369.40-00 INSURANCE CLAIMS

365

-

9,737

4.92%

-

-

(100.00%)

369.50-00 CANDIDATE QUALIFYING

800

50

-

-

-

-

­

369.90-00 MISCELLANEOUS REVENUE

380,751

77,417

58,290

29.45%

60,000

45.94%

2.93%

369.90-10 MISCELLANEOUS REVENUE - DISCOUNTS EARNED

149

50

-

-

-

-

­

369.90-12 MISCELLANEOUS REVENUE - CASH OVER/SHORT

(96)

(32)

-

-

-

-

­

388.14-05 REIMBURSE PRINCIPAL - MARINA

129,652

153,212

25,702

12.99%

-

-

(100.00%)

TOTAL MISCELLANEOUS REVENUES

$569,398

$331,216

$197,935

0.45%

$130,600

0.29%

(34.02%)


INTERFUND TRANSFERS IN

381.11-04 TRANSFER FROM - CRA

14,716

14,716

14,717

0.36%

14,717

0.53%

­

381.13-01 TRANSFER FROM - GENERAL CONSTRUCTION

-

8,589

-

-

-

-

­

381.13-03 TRANSFER FROM - ROADS & STREETS

-

62,022

-

-

-

-

­

381.14-01 TRANSFER FROM - WATER & SEWER FUND

1,007,742

1,073,839

1,589,177

38.55%

1,599,020

57.12%

0.62%

381.14-06 TRANSFER FROM - STORMWATER UTILITY FUND

123,314

125,540

118,253

2.87%

121,800

4.35%

3.00%

381.16-04 TRANSFER FROM - O.P.E.B. TRUST FUND

-

-

450,000

10.91%

-

-

(100.00%)

383.10-10 OTHER SOURCES - INSTALL PURCH PROCEEDS

381,134

849,000

1,950,655

47.31%

1,063,790

38.00%

(45.46%)

TOTAL INTERFUND TRANSFERS IN

$1,526,906

$2,133,706

$4,122,802

9.33%

$2,799,327

6.24%

(32.10%)

TOTAL FUND: 001 - GENERAL FUND

$33,534,030

$35,375,012

$44,203,932

29.63%

$44,866,954

37.71%

1.50%


55


Titusville City Seal

CITY OF TITUSVILLE

image

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 001 - GENERAL FUND


ACTUAL FY2016


ACTUAL FY2017

REVISED BUDGET FY2018

% OF REVISED BUDGET

FY2019 ADOPTED BUDGET

% OF PROPOSED BUDGET

% CHANGE FY2018 TO FY2019


PERSONNEL SERVICES

11-01 EXECUTIVE SALARIES

12-01 PERSONNEL SERVICES

13-01 TEMP SALARIES/WAGES

14-01 OVERTIME

15-01 SPECIAL PAY

21-01 FICA TAXES

22-01 RETIREMENT CONTRIBUTIONS

23-01 GROUP HEALTH INSURANCE

24-01 WORKERS COMPENSATION

25-01 UNEMPLOYMENT COMPENSATION

28-01 OTHER EMPLOYEE BENEFITS

29-01 OTHER PERSONNEL SVCS

TOTAL PERSONNEL SERVICES

36,570

13,747,825

162,255

1,541,405

511,074

1,181,787

3,372,052

2,040,582

299,066

2,386

854,351

(171,027)

$23,578,327

37,982

14,520,940

192,074

1,827,851

564,135

1,268,213

3,197,360

2,566,733

301,611

2,413

1,084,116

(197,067)

$25,366,360

38,002

15,245,308

183,170

1,234,803

496,879

1,199,201

3,273,890

2,907,221

304,370

4,000

997,739

(179,853)

$25,704,730

0.15%

59.31%

0.71%

4.80%

1.93%

4.67%

12.74%

11.31%

1.18%

0.02%

3.88%

(0.70%)

58.15%

39,208

15,667,288

216,542

1,262,868

661,536

1,237,479

3,438,689

3,007,530

360,226

2,491

1,296,093

(192,854)

$26,997,096

0.15%

58.03%

0.80%

4.68%

2.45%

4.58%

12.74%

11.14%

1.33%

0.01%

4.80%

(0.71%)

60.17%

3.17%

2.77%

18.22%

2.27%

33.14%

3.19%

5.03%

3.45%

18.35%

(37.73%)

29.90%

(7.23%)

5.03%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

32-01 ACCOUNTING & AUDITING

34-01 OTHER SERVICES

35-01 INVESTIGATIONS

40-01 TRAVEL & PER DIEM

41-01 COMMUNICATIONS SERVICES

42-01 FREIGHT & POSTAGE SERVICE

43-01 UTILITY SERVICES

44-01 RENTALS & LEASES

45-01 INSURANCE

46-01 REPAIR & MAINT SERVICES

47-01 PRINTING & BINDING

48-01 PROMOTIONAL ACTIVITIES

49-01 OTHER CHARGES/OBLIGATIONS

51-01 OFFICE SUPPLIES

52-01 OPERATING SUPPLIES

54-01 BOOKS/PUBS/SUBS/MEMS

55-01 TRAINING

58-99 MISC OPERATING

99-99 OTHER USES

TOTAL OPERATING EXPENDITURES/EXPENSES

248,031

91,000

369,178

- 273,117

249,346

157,533

1,055,246

208,967

405,762

1,307,410

54,120

58,312

2,109,558

66,451

797,350

49,365

122,110

- (196,954)

$7,425,903

312,683

78,000

299,479

- 389,410

260,991

127,633

1,131,618

160,643

444,137

1,512,214

63,943

105,016

2,309,066

70,868

740,559

56,013

92,903

- (48,953)

$8,106,224

716,491

65,000

398,661

15,000

454,102

294,234

202,361

1,125,000

164,066

327,120

1,721,865

85,955

115,550

2,301,105

79,643

953,942

75,695

142,063

(15,000)

-

$9,222,853

7.77%

0.70%

4.32%

0.16%

4.92%

3.19%

2.19%

12.20%

1.78%

3.55%

18.67%

0.93%

1.25%

24.95%

0.86%

10.34%

0.82%

1.54%

(0.16%)

-

20.86%

417,381

67,000

462,691

15,000

389,776

294,673

192,596

1,135,000

65,290

274,555

1,634,797

91,018

121,790

2,512,869

81,047

805,955

73,963

96,426

(15,000)

-

$8,716,827

4.79%

0.77%

5.31%

0.17%

4.47%

3.38%

2.21%

13.02%

0.75%

3.15%

18.75%

1.04%

1.40%

28.83%

0.93%

9.25%

0.85%

1.11%

(0.17%)

-

19.43%

(41.75%)

3.08%

16.06%

- (14.17%)

0.15%

(4.83%)

0.89%

(60.21%)

(16.07%)

(5.06%)

5.89%

5.40%

9.20%

1.76%

(15.51%)

(2.29%)

(32.12%)

-

-

(5.49%)


CAPITAL

64-00 MACHINERY & EQUIPMENT

64-20 MACHINERY & EQUIPMENT

68-01 INTANGIBLE ASSETS

56,765

549,213

1,307

$607,285

257,737

1,784,448

-

$2,042,184

886,094

1,170,655

-

$2,056,749

43.08%

56.92%

-

4.65%

460,000

729,479

-

$1,189,479

38.67%

61.33%

-

2.65%

(48.09%)

(37.69%)

-

(42.17%)

TOTAL CAPITAL


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Titusville City Seal

CITY OF TITUSVILLE

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FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 001 - GENERAL FUND


ACTUAL FY2016


ACTUAL FY2017

REVISED BUDGET FY2018

% OF REVISED BUDGET

FY2019 ADOPTED BUDGET

% OF PROPOSED BUDGET

% CHANGE FY2018 TO FY2019


DEBT SERVICE

71-40 PRINCIPAL

72-40 INTEREST

73-02 OTHER DEBT SERVICE COSTS

99-98 OTHER USES

TOTAL DEBT SERVICE

568,969

37,421

1,907

132,171

$740,468

746,801

38,127

500

163,848

$949,276

925,579

51,554

-

-

$977,133

94.72%

5.28%

-

-

2.21%

1,132,052

91,500

-

-

$1,223,552

92.52%

7.48%

-

-

2.73%

22.31%

77.48%

-

-

25.22%


GRANTS & AID

82-02 AIDS TO PRIVATE ORGS

TOTAL GRANTS & AID

12,500

$12,500

12,500

$12,500

-

-

-

-

-

-

-

-

-

-


OPERATING TRANSFERS OUT

11-01 INTERFUND TRANSFER

12-01 INTERFUND TRANSFER

13-01 INTERFUND TRANSFER

14-01 INTERFUND TRANSFER

15-01 INTERFUND TRANSFER

TOTAL OPERATING TRANSFERS OUT

- 67,831

1,410,031

60,143

1,063,411

$2,601,416

-

- 217,000

65,687

376,744

$659,431

33,000

- 197,170

25,425

102,700

$358,295

9.21%

- 55.03%

7.10%

28.66%

0.81%

-

- 710,000

-

-

$710,000

-

- 100.00%

-

-

1.58%

(100.00%)

- 260.10%

(100.00%)

(100.00%)

98.16%


FUND BALANCE ALLOCATION

11-01 CY FUND BALANCE

TOTAL FUND BALANCE ALLOCATION

-

-

2,391

$2,391

5,884,172

$5,884,172

100.00%

13.31%

6,030,000

$6,030,000

100.00%

13.44%

2.48%

2.48%

TOTAL FUND: 001 - GENERAL FUND

$34,965,899

$37,138,367

$44,203,932

28.90%

$44,866,954

37.20%

1.50%


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Titusville City Seal

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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 01-01 CITY COUNCIL


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

11-01 EXECUTIVE SALARIES

36,857

37,982

38,002

92.52%

39,208

92.53%

3.17%

21-01 FICA TAXES

2,718

2,849

2,906

7.07%

2,999

7.08%

3.20%

23-01 GROUP HEALTH INSURANCE

111

96

93

0.23%

93

0.22%

0.00%

24-01 WORKERS COMPENSATION

80

77

75

0.18%

71

0.17%

(5.33%)

TOTAL PERSONNEL SERVICES

39,766

41,004

41,076

50.67%

42,371

52.01%

3.15%


OPERATING EXPENDITURES/EXPENSES

40-01 TRAVEL & PER DIEM

2,407

4,228

7,100

17.75%

7,000

17.90%

(1.41%)

41-01 COMMUNICATIONS SERVICES

482

46

800

2.00%

800

2.05%

0.00%

42-01 FREIGHT & POSTAGE SERVICE

-

0

340

0.85%

300

0.77%

(11.76%)

47-01 PRINTING & BINDING

583

635

3,150

7.88%

2,500

6.39%

(20.63%)

49-01 OTHER CHARGES/OBLIGATIONS

3,895

3,810

7,100

17.75%

7,500

19.18%

5.63%

51-01 OFFICE SUPPLIES

1,184

1,171

1,500

3.75%

1,500

3.84%

0.00%

52-01 OPERATING SUPPLIES

603

4,204

1,500

3.75%

1,000

2.56%

(33.33%)

54-01 BOOKS/PUBS/SUBS/MEMS

9,968

10,136

18,500

46.26%

18,500

47.31%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

19,122

24,229

39,990

49.33%

39,100

47.99%

(2.23%)

TOTAL 01-01 CITY COUNCIL

58,889

65,233

81,066

100.00%

81,471

100.00%

0.50%


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 02-01 CITY ATTORNEY


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

274,126

297,412

298,663

72.81%

307,686

71.75%

3.02%

15-01 SPECIAL PAY

601

602

600

0.15%

600

0.14%

0.00%

21-01 FICA TAXES

20,084

21,022

19,945

4.86%

20,428

4.76%

2.42%

22-01 RETIREMENT CONTRIBUTIONS

54,933

52,213

50,973

12.43%

57,361

13.38%

12.53%

23-01 GROUP HEALTH INSURANCE

28,860

35,762

39,551

9.64%

37,469

8.74%

(5.26%)

24-01 WORKERS COMPENSATION

463

475

467

0.11%

444

0.10%

(4.93%)

28-01 OTHER EMPLOYEE BENEFITS

-

2,653

-

0.00%

4,829

1.13%

100.00%

TOTAL PERSONNEL SERVICES

379,068

410,139

410,199

88.12%

428,817

88.58%

4.54%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

10,180

7,285

30,000

54.27%

30,000

54.27%

0.00%

40-01 TRAVEL & PER DIEM

4,969

3,986

7,930

14.34%

6,930

12.54%

(12.61%)

41-01 COMMUNICATIONS SERVICES

2,539

2,485

2,600

4.70%

2,600

4.70%

0.00%

42-01 FREIGHT & POSTAGE SERVICE

155

328

742

1.34%

742

1.34%

0.00%

46-01 REPAIR & MAINT SERVICES

428

-

636

1.15%

636

1.15%

0.00%

47-01 PRINTING & BINDING

105

78

1,060

1.92%

1,060

1.92%

0.00%

49-01 OTHER CHARGES/OBLIGATIONS

690

322

1,606

2.91%

1,606

2.91%

0.00%

51-01 OFFICE SUPPLIES

1,694

2,092

1,707

3.09%

1,707

3.09%

0.00%

54-01 BOOKS/PUBS/SUBS/MEMS

7,270

8,209

9,000

16.28%

10,000

18.09%

11.11%

TOTAL OPERATING EXPENDITURES/EXPENSES

28,030

24,786

55,281

11.88%

55,281

11.42%

0.00%

TOTAL 02-01 CITY ATTORNEY

407,098

434,925

465,480

100.00%

484,098

100.00%

4.00%


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 03-01 CITY MANAGER


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

248,681

271,695

253,885

74.74%

261,560

72.09%

3.02%

14-01 PERSONNEL SERVICES

40

-

-

0.00%

-

0.00%

0.00%

15-01 SPECIAL PAY

2,403

2,723

-

0.00%

2,400

0.66%

100.00%

21-01 FICA TAXES

17,926

19,196

16,972

5.00%

17,183

4.74%

1.24%

22-01 RETIREMENT CONTRIBUTIONS

53,603

49,668

47,428

13.96%

54,740

15.09%

15.42%

23-01 GROUP HEALTH INSURANCE

13,852

17,806

20,883

6.15%

21,732

5.99%

4.07%

24-01 WORKERS COMPENSATION

537

733

509

0.15%

483

0.13%

(5.11%)

28-01 OTHER PERSONNEL SVCS

-

2,667

-

0.00%

4,715

1.30%

100.00%

TOTAL PERSONNEL SERVICES

337,043

364,488

339,677

95.22%

362,813

94.34%

6.81%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

-

461

-

0.00%

-

0.00%

0.00%

40-01 TRAVEL & PER DIEM

10,891

8,865

9,300

54.53%

12,599

57.93%

35.47%

41-01 COMMUNICATIONS SERVICES

1,785

1,786

2,400

14.07%

2,400

11.03%

0.00%

42-01 FREIGHT & POSTAGE SERVICE

28

15

200

1.17%

200

0.92%

0.00%

47-01 PRINTING & BINDING

48

118

800

4.69%

800

3.68%

0.00%

51-01 OFFICE SUPPLIES

1,363

988

1,350

7.92%

1,162

5.34%

(13.93%)

52-01 OPERATING SUPPLIES

6,467

2,287

1,200

7.04%

1,200

5.52%

0.00%

54-01 BOOKS/PUBS/SUBS/MEMS

1,997

2,916

1,805

10.58%

2,188

10.06%

21.22%

55-01 TRAINING

8,600

8,445

-

0.00%

1,201

5.52%

100.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

31,180

25,881

17,055

4.78%

21,750

5.66%

27.53%

TOTAL 03-01 CITY MANAGER

368,223

390,369

356,732

100.00%

384,563

100.00%

7.80%


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61


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 05-01 CITY CLERK


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

294,295

326,834

362,969

73.92%

373,879

72.28%

3.01%

14-01 PERSONNEL SERVICES

1,544

1,959

1,600

0.33%

1,600

0.31%

0.00%

15-01 SPECIAL PAY

601

602

600

0.12%

600

0.12%

0.00%

21-01 FICA TAXES

22,152

24,640

27,342

5.57%

28,221

5.46%

3.21%

22-01 RETIREMENT CONTRIBUTIONS

46,831

50,111

52,295

10.65%

60,351

11.67%

15.40%

23-01 GROUP HEALTH INSURANCE

36,193

41,799

45,508

9.27%

47,291

9.14%

3.92%

24-01 WORKERS COMPENSATION

636

687

726

0.15%

790

0.15%

8.82%

28-01 OTHER PERSONNEL SVCS

-

2,299

-

0.00%

4,502

0.87%

100.00%

TOTAL PERSONNEL SERVICES

402,252

448,931

491,040

83.06%

517,234

82.59%

5.33%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

8,528

11,400

12,450

12.43%

12,450

11.42%

0.00%

40-01 TRAVEL & PER DIEM

13,084

5,761

11,165

11.14%

11,165

10.24%

0.00%

41-01 COMMUNICATIONS SERVICES

1,639

1,557

2,180

2.18%

2,960

2.72%

35.78%

42-01 FREIGHT & POSTAGE SERVICE

1,602

1,182

2,500

2.50%

2,500

2.29%

0.00%

44-01 RENTALS & LEASES

2,612

2,594

2,634

2.63%

2,634

2.42%

0.00%

46-01 REPAIR & MAINT SERVICES

187

398

550

0.55%

550

0.50%

0.00%

47-01 PRINTING & BINDING

6,882

25,552

16,500

16.47%

20,000

18.35%

21.21%

48-01 PROMOTIONAL ACTIVITIES

23,134

25,570

28,510

28.46%

35,000

32.10%

22.76%

49-01 OTHER CHARGES/OBLIGATIONS

1,646

2,344

9,450

9.43%

9,450

8.67%

0.00%

51-01 OFFICE SUPPLIES

2,823

2,436

2,500

2.50%

2,500

2.29%

0.00%

52-01 OPERATING SUPPLIES

5,798

5,575

10,432

10.41%

8,500

7.80%

(18.52%)

54-01 BOOKS/PUBS/SUBS/MEMS

1,704

1,013

1,310

1.31%

1,310

1.20%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

69,639

85,382

100,181

16.94%

109,019

17.41%

8.82%

TOTAL 05-01 CITY CLERK

471,891

534,313

591,221

100.00%

626,253

100.00%

5.93%


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 08-01 LAW ENFORCEMENT


FUND: 001 - GENERAL FUND

image



ACTUAL FY2016


ACTUAL FY2017

REVISED BUDGET FY2018

% OF REVISED BUDGET

FY2019 ADOPTED BUDGET

% OF PROPOSED BUDGET

% CHANGE FY2018 TO FY2019


PERSONNEL SERVICES

12-01 PERSONNEL SERVICES

5,537,134

5,861,871

5,973,004

60.33%

6,274,981

58.88%

5.06%

13-01 TEMP SALARIES/WAGES

69,023

63,795

89,376

0.90%

66,000

0.62%

(26.15%)

14-01 PERSONNEL SERVICES

948,139

1,131,953

735,863

7.43%

799,868

7.51%

8.70%

15-01 SPECIAL PAY

140,136

188,075

78,959

0.80%

189,279

1.78%

139.72%

21-01 FICA TAXES

491,197

535,829

460,216

4.65%

483,419

4.54%

5.04%

22-01 RETIREMENT CONTRIBUTIONS

1,415,248

1,324,146

1,341,283

13.55%

1,403,254

13.17%

4.62%

23-01 GROUP HEALTH INSURANCE

800,515

999,659

1,092,453

11.03%

1,159,506

10.88%

6.14%

24-01 WORKERS COMPENSATION

133,366

131,729

129,128

1.30%

168,640

1.58%

30.60%

28-01 OTHER PERSONNEL SVCS

-

60,040

-

0.00%

112,101

1.05%

100.00%

29-01 OTHER PERSONNEL SVCS

3,922

2,370

-

0.00%

-

0.00%

0.00%

TOTAL PERSONNEL SERVICES

9,538,679

10,299,467

9,900,282

85.75%

10,657,048

87.87%

7.64%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

29,803

51,955

56,300

3.42%

61,300

4.17%

8.88%

35-01 INVESTIGATIONS

-

-

15,000

0.91%

15,000

1.02%

0.00%

40-01 TRAVEL & PER DIEM

94,994

125,528

105,831

6.43%

71,994

4.90%

(31.97%)

41-01 COMMUNICATIONS SERVICES

131,698

145,872

151,550

9.21%

144,250

9.81%

(4.82%)

42-01 FREIGHT & POSTAGE SERVICE

4,355

5,192

6,000

0.36%

6,000

0.41%

0.00%

44-01 RENTALS & LEASES

9,534

8,007

17,724

1.08%

8,124

0.55%

(54.16%)

45-01 INSURANCE

25,086

26,322

17,956

1.09%

20,294

1.38%

13.02%

46-01 REPAIR & MAINT SERVICES

724,022

870,090

921,289

56.00%

874,759

59.48%

(5.05%)

47-01 PRINTING & BINDING

3,995

5,008

6,000

0.36%

6,000

0.41%

0.00%

49-01 OTHER CHARGES/OBLIGATIONS

659

651

1,200

0.07%

1,200

0.08%

0.00%

51-01 OFFICE SUPPLIES

18,756

18,114

23,000

1.40%

25,000

1.70%

8.70%

52-01 OPERATING SUPPLIES

229,830

205,498

270,110

16.42%

239,900

16.31%

(11.18%)

54-01 BOOKS/PUBS/SUBS/MEMS

10,381

10,534

13,105

0.80%

11,745

0.80%

(10.38%)

55-01 TRAINING

44,186

40,423

55,100

3.35%

-

0.00%

(100.00%)

58-99 MISC OPERATING

-

-

(15,000)

(0.91%)

(15,000)

(1.02%)

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

1,327,300

1,513,194

1,645,165

14.25%

1,470,566

12.13%

(10.61%)

TOTAL 08-01 LAW ENFORCEMENT

10,865,979

11,812,661

11,545,447

100.00%

12,127,614

100.00%

5.04%


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 08-08 CODE ENFORCEMENT


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

238,811

235,234

241,654

67.30%

248,206

66.01%

2.71%

14-01 OVERTIME

1,184

1,696

2,800

0.78%

2,800

0.74%

0.00%

15-01 SPECIAL PAY

6,326

3,448

960

0.27%

3,360

0.89%

250.00%

21-01 FICA TAXES

18,764

17,742

18,259

5.08%

19,048

5.07%

4.32%

22-01 RETIREMENT CONTRIBUTIONS

32,737

36,668

42,803

11.92%

48,403

12.87%

13.08%

23-01 GROUP HEALTH INSURANCE

25,263

42,600

49,208

13.70%

47,165

12.54%

(4.15%)

24-01 WORKERS COMPENSATION

3,189

2,985

3,392

0.94%

3,308

0.88%

(2.48%)

28-01 OTHER EMPLOYEE BENEFITS

-

2,084

-

0.00%

3,723

0.99%

100.00%

29-01 OTHER PERSONNEL SVCS

(11,909)

(26,804)

-

0.00%

-

0.00%

0.00%

TOTAL PERSONNEL SERVICES

314,365

315,653

359,076

75.31%

376,013

74.58%

4.72%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

14,807

17,114

18,000

15.29%

18,000

14.04%

0.00%

40-01 TRAVEL & PER DIEM

1,128

12

5,460

4.64%

5,460

4.26%

0.00%

41-01 COMMUNICATIONS SERVICES

4,121

6,550

8,250

7.01%

8,250

6.44%

0.00%

42-01 FREIGHT & POSTAGE SERVICE

13,106

13,074

13,500

11.47%

13,500

10.53%

0.00%

45-01 INSURANCE

1,488

2,000

582

0.49%

559

0.44%

(3.95%)

46-01 REPAIR & MAINT SERVICES

6,793

15,112

17,486

14.86%

16,004

12.48%

(8.48%)

47-01 PRINTING & BINDING

841

757

3,000

2.55%

3,000

2.34%

0.00%

49-01 OTHER CHARGES/OBLIGATIONS

-

-

2,000

1.70%

2,000

1.56%

0.00%

51-01 OFFICE SUPPLIES

567

318

2,000

1.70%

2,000

1.56%

0.00%

52-01 OPERATING SUPPLIES

28,341

19,492

43,320

36.81%

55,320

43.15%

27.70%

54-01 BOOKS/PUBS/SUBS/MEMS

80

255

600

0.51%

600

0.47%

0.00%

55-01 TRAINING

-

508

3,500

2.97%

3,500

2.73%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

71,272

75,191

117,698

24.69%

128,193

25.42%

8.92%

TOTAL 08-08 CODE ENFORCEMENT

385,638

390,844

476,774

100.00%

504,206

100.00%

5.75%


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 09-01 FIRE & EMERGENCY SERVICES


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

2,929,379

3,049,057

3,363,280

55.79%

3,471,874

55.90%

3.23%

13-01 TEMP SALARIES/WAGES

3,155

6,743

4,000

0.07%

-

0.00%

(100.00%)

14-01 OVERTIME

507,105

562,257

395,940

6.57%

360,000

5.80%

(9.08%)

15-01 SPECIAL PAY

321,783

329,660

383,635

6.36%

405,622

6.53%

5.73%

21-01 FICA TAXES

277,643

290,810

281,492

4.67%

292,584

4.71%

3.94%

22-01 RETIREMENT CONTRIBUTIONS

882,253

823,758

877,105

14.55%

867,643

13.97%

(1.08%)

23-01 GROUP HEALTH INSURANCE

427,430

527,134

622,660

10.33%

635,653

10.23%

2.09%

24-01 WORKERS COMPENSATION

97,520

95,855

100,650

1.67%

109,095

1.76%

8.39%

28-01 OTHER EMPLOYEE BENEFITS

-

34,744

-

0.00%

68,577

1.10%

100.00%

29-01 OTHER PERSONNEL SVCS

3,805

2,265

-

0.00%

-

0.00%

0.00%

TOTAL PERSONNEL SERVICES

5,450,072

5,722,282

6,028,762

87.97%

6,211,048

88.86%

3.02%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

12,952

19,392

23,500

2.85%

17,800

2.29%

(24.26%)

40-01 TRAVEL & PER DIEM

19,891

28,518

31,000

3.76%

25,000

3.21%

(19.35%)

41-01 COMMUNICATIONS SERVICES

73,177

68,917

80,582

9.77%

82,750

10.63%

2.69%

42-01 FREIGHT & POSTAGE SERVICE

1,684

1,765

2,000

0.24%

2,000

0.26%

0.00%

44-01 RENTALS & LEASES

5,616

5,789

8,990

1.09%

7,790

1.00%

(13.35%)

45-01 INSURANCE

15,669

16,442

17,676

2.14%

21,031

2.70%

18.98%

46-01 REPAIR & MAINT SERVICES

289,022

312,046

383,477

46.50%

340,839

43.78%

(11.12%)

47-01 PRINTING & BINDING

485

1,192

1,725

0.21%

1,725

0.22%

0.00%

51-01 OFFICE SUPPLIES

7,483

5,193

8,506

1.03%

8,600

1.10%

1.11%

52-01 OPERATING SUPPLIES

232,406

151,963

207,300

25.13%

203,080

26.09%

(2.04%)

54-01 BOOKS/PUBS/SUBS/MEMS

3,995

4,415

12,000

1.45%

9,500

1.22%

(20.83%)

55-01 TRAINING

55,121

39,817

48,000

5.82%

58,400

7.50%

21.67%

TOTAL OPERATING EXPENDITURES/EXPENSES

717,501

655,447

824,756

12.03%

778,515

11.14%

(5.61%)

TOTAL 09-01 FIRE & EMERGENCY SERVICES

6,167,573

6,377,728

6,853,518

100.00%

6,989,563

100.00%

1.99%


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CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 15-01 PUB WORKS ADMINISTRATION


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

143,465

156,756

156,894

90.40%

161,637

87.03%

3.02%

21-01 FICA TAXES

10,643

11,889

11,704

6.74%

11,887

6.40%

1.56%

22-01 RETIREMENT CONTRIBUTIONS

30,044

27,196

27,247

15.70%

30,924

16.65%

13.50%

23-01 GROUP HEALTH INSURANCE

16,294

15,795

17,407

10.03%

18,096

9.74%

3.96%

24-01 WORKERS COMPENSATION

308

307

312

0.18%

296

0.16%

(5.13%)

28-01 OTHER EMPLOYEE BENEFITS

-

1,538

-

0.00%

2,887

1.55%

100.00%

29-01 OTHER PERSONNEL SVCS

(27,120)

(21,478)

(40,000)

(23.05%)

(40,000)

(21.54%)

0.00%

TOTAL PERSONNEL SERVICES

173,634

192,002

173,564

95.40%

185,727

95.40%

7.01%


OPERATING EXPENDITURES/EXPENSES

40-01 TRAVEL & PER DIEM

2,412

2,414

2,400

28.71%

2,400

26.79%

0.00%

41-01 COMMUNICATIONS SERVICES

421

405

460

5.50%

1,060

11.83%

130.43%

42-01 FREIGHT & POSTAGE SERVICE

107

139

100

1.20%

100

1.12%

0.00%

44-01 RENTALS & LEASES

245

246

300

3.59%

-

0.00%

(100.00%)

49-01 OTHER CHARGES/OBLIGATIONS

-

5,969

-

0.00%

-

0.00%

0.00%

51-01 OFFICE SUPPLIES

2,401

1,247

2,600

31.10%

2,600

29.02%

0.00%

52-01 OPERATING SUPPLIES

2,406

2,619

2,500

29.90%

2,800

31.25%

12.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

7,992

13,039

8,360

4.60%

8,960

4.60%

7.18%

TOTAL 15-01 PUB WORKS ADMINISTRATION

181,626

205,041

181,924

100.00%

194,687

100.00%

7.02%


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 15-07 ENGINEERING


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

171,378

153,347

198,006

91.91%

169,718

94.59%

(14.29%)

15-01 SPECIAL PAY

500

500

250

0.12%

250

0.14%

0.00%

21-01 FICA TAXES

13,216

11,605

15,539

7.21%

12,997

7.24%

(16.36%)

22-01 RETIREMENT CONTRIBUTIONS

47,365

41,767

36,615

17.00%

34,839

19.42%

(4.85%)

23-01 GROUP HEALTH INSURANCE

17,222

23,573

24,043

11.16%

17,934

10.00%

(25.41%)

24-01 WORKERS COMPENSATION

1,075

982

973

0.45%

652

0.36%

(32.99%)

28-01 OTHER EMPLOYEE BENEFITS

-

2,003

-

0.00%

3,036

1.69%

100.00%

29-01 OTHER PERSONNEL SVCS

(37,225)

(50,527)

(60,000)

(27.85%)

(60,000)

(33.44%)

0.00%

TOTAL PERSONNEL SERVICES

213,531

183,249

215,426

95.10%

179,426

95.37%

(16.71%)


OPERATING EXPENDITURES/EXPENSES

40-01 TRAVEL & PER DIEM

1,020

-

-

0.00%

-

0.00%

0.00%

41-01 COMMUNICATIONS SERVICES

1,537

1,098

1,200

10.82%

2,820

32.36%

135.00%

42-01 FREIGHT & POSTAGE SERVICE

-

1

-

0.00%

-

0.00%

0.00%

44-01 RENTALS & LEASES

246

353

600

5.41%

-

0.00%

(100.00%)

45-01 INSURANCE

538

565

130

1.17%

110

1.26%

(15.38%)

46-01 REPAIR & MAINT SERVICES

2,847

2,398

4,163

37.53%

785

9.01%

(81.14%)

51-01 OFFICE SUPPLIES

1,087

17,298

1,500

13.52%

1,500

17.21%

0.00%

52-01 OPERATING SUPPLIES

1,237

5,439

3,000

27.04%

3,000

34.42%

0.00%

54-01 BOOKS/PUBS/SUBS/MEMS

612

1,019

500

4.51%

500

5.74%

0.00%

55-01 TRAINING

250

-

-

0.00%

-

0.00%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

9,374

28,171

11,093

4.90%

8,715

4.63%

(21.44%)

TOTAL 15-07 ENGINEERING

222,905

211,420

226,519

100.00%

188,141

100.00%

(16.94%)


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 15-08 FACILITIES MAINTENANCE


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

254,808

276,037

282,610

61.42%

291,221

60.15%

3.05%

14-01 OVERTIME

13,798

15,062

17,500

3.80%

18,500

3.82%

5.71%

15-01 SPECIAL PAY

9,210

10,259

10,890

2.37%

10,140

2.09%

(6.89%)

21-01 FICA TAXES

20,536

22,144

22,879

4.97%

23,441

4.84%

2.46%

22-01 RETIREMENT CONTRIBUTIONS

57,700

54,607

54,487

11.84%

61,369

12.67%

12.63%

23-01 GROUP HEALTH INSURANCE

43,160

53,647

59,201

12.87%

61,561

12.71%

3.99%

24-01 WORKERS COMPENSATION

12,479

12,477

12,534

2.72%

12,609

2.60%

0.60%

28-01 OTHER EMPLOYEE BENEFITS

-

2,880

-

0.00%

5,356

1.11%

100.00%

TOTAL PERSONNEL SERVICES

411,692

447,114

460,101

34.38%

484,197

34.90%

5.24%


OPERATING EXPENDITURES/EXPENSES

34-01 OTHER SERVICES

198,054

221,710

250,000

28.46%

250,000

27.68%

0.00%

40-01 TRAVEL & PER DIEM

89

-

-

0.00%

-

0.00%

0.00%

41-01 COMMUNICATIONS SERVICES

2,775

2,051

6,160

0.70%

6,460

0.72%

4.87%

43-01 UTILITY SERVICES

418,150

454,149

425,000

48.39%

425,000

47.06%

0.00%

45-01 INSURANCE

2,529

2,653

1,891

0.22%

2,125

0.24%

12.37%

46-01 REPAIR & MAINT SERVICES

102,499

119,863

163,302

18.59%

188,442

20.87%

15.39%

49-01 OTHER CHARGES/OBLIGATIONS

1

-

-

0.00%

-

0.00%

0.00%

51-01 OFFICE SUPPLIES

342

1,484

1,000

0.11%

1,000

0.11%

0.00%

52-01 OPERATING SUPPLIES

22,815

24,809

30,000

3.42%

30,000

3.32%

0.00%

54-01 BOOKS/PUBS/SUBS/MEMS

345

120

1,000

0.11%

-

0.00%

(100.00%)

TOTAL OPERATING EXPENDITURES/EXPENSES

747,599

826,839

878,353

65.62%

903,027

65.10%

2.81%

TOTAL 15-08 FACILITIES MAINTENANCE

1,159,291

1,273,953

1,338,454

100.00%

1,387,224

100.00%

3.64%


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE

image

FY2019 ADOPTED BUDGET 15-10 ROADS & STREETS


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

497,411

564,979

592,825

59.81%

594,733

58.89%

0.32%

14-01 OVERTIME

39,433

81,068

42,500

4.29%

42,500

4.21%

0.00%

15-01 SPECIAL PAY

6,958

7,409

9,045

0.91%

12,545

1.24%

38.70%

21-01 FICA TAXES

39,043

47,806

48,300

4.87%

47,776

4.73%

(1.08%)

22-01 RETIREMENT CONTRIBUTIONS

114,227

109,699

110,558

11.15%

121,281

12.01%

9.70%

23-01 GROUP HEALTH INSURANCE

113,276

137,114

150,444

15.18%

144,635

14.32%

(3.86%)

24-01 WORKERS COMPENSATION

33,681

35,931

37,442

3.78%

35,762

3.54%

(4.49%)

28-01 OTHER EMPLOYEE BENEFITS

-

5,524

-

0.00%

10,687

1.06%

100.00%

TOTAL PERSONNEL SERVICES

844,029

989,530

991,114

64.92%

1,009,919

62.10%

1.90%


OPERATING EXPENDITURES/EXPENSES

34-01 OTHER SERVICES

33,978

65,079

135,970

25.39%

200,000

32.45%

47.09%

40-01 TRAVEL & PER DIEM

868

1,570

5,576

1.04%

5,288

0.86%

(5.16%)

41-01 COMMUNICATIONS SERVICES

752

1,168

1,183

0.22%

1,318

0.21%

11.41%

43-01 UTILITY SERVICES

43,392

51,856

50,000

9.34%

60,000

9.73%

20.00%

44-01 RENTALS & LEASES

250

246

5,000

0.93%

-

0.00%

(100.00%)

45-01 INSURANCE

9,285

9,743

6,985

1.30%

6,876

1.12%

(1.56%)

46-01 REPAIR & MAINT SERVICES

172,570

180,101

209,852

39.18%

195,928

31.79%

(6.64%)

51-01 OFFICE SUPPLIES

480

287

1,000

0.19%

1,000

0.16%

0.00%

52-01 OPERATING SUPPLIES

85,698

106,991

120,000

22.41%

146,000

23.69%

21.67%

TOTAL OPERATING EXPENDITURES/EXPENSES

347,272

417,040

535,566

35.08%

616,410

37.90%

15.10%

TOTAL 15-10 ROADS & STREETS

1,191,301

1,406,570

1,526,680

100.00%

1,626,329

100.00%

6.53%


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CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 19-02 DEVELOPMENT SERVICES


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

722,346

821,749

929,490

68.12%

796,723

62.11%

(14.28%)

13-01 TEMP SALARIES/WAGES

55,074

61,208

-

0.00%

55,000

4.29%

100.00%

14-01 OVERTIME

3,499

6,939

5,000

0.37%

5,000

0.39%

0.00%

15-01 SPECIAL PAY

15,123

13,681

9,840

0.72%

26,240

2.05%

166.67%

21-01 FICA TAXES

62,336

71,164

75,609

5.54%

68,570

5.35%

(9.31%)

22-01 RETIREMENT CONTRIBUTIONS

166,438

168,382

170,583

12.50%

164,362

12.81%

(3.65%)

23-01 GROUP HEALTH INSURANCE

99,443

125,789

163,830

12.01%

140,242

10.93%

(14.40%)

24-01 WORKERS COMPENSATION

7,856

10,114

10,145

0.74%

11,976

0.93%

18.05%

28-01 OTHER EMPLOYEE BENEFITS

-

9,353

-

0.00%

14,693

1.15%

100.00%

TOTAL PERSONNEL SERVICES

1,132,115

1,288,379

1,364,497

84.75%

1,282,806

88.88%

(5.99%)


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

-

31,554

102,000

41.54%

60,000

37.37%

(41.18%)

40-01 TRAVEL & PER DIEM

57,629

64,209

85,870

34.97%

57,070

35.54%

(33.54%)

41-01 COMMUNICATIONS SERVICES

7,888

9,249

6,900

2.81%

2,880

1.79%

(58.26%)

42-01 FREIGHT & POSTAGE SERVICE

1,735

1,941

1,500

0.61%

2,000

1.25%

33.33%

47-01 PRINTING & BINDING

4,404

2,567

3,160

1.29%

3,000

1.87%

(5.06%)

49-01 OTHER CHARGES/OBLIGATIONS

9,832

12,603

10,000

4.07%

-

0.00%

(100.00%)

51-01 OFFICE SUPPLIES

3,148

2,973

3,500

1.43%

3,000

1.87%

(14.29%)

52-01 OPERATING SUPPLIES

13,394

12,102

15,616

6.36%

15,616

9.73%

0.00%

54-01 BOOKS/PUBS/SUBS/MEMS

2,805

5,919

7,000

2.85%

7,000

4.36%

0.00%

55-01 TRAINING

10,544

2,845

10,000

4.07%

10,000

6.23%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

111,378

145,963

245,546

15.25%

160,566

11.12%

(34.61%)

TOTAL 19-02 DEVELOPMENT SERVICES

1,243,493

1,434,342

1,610,043

100.00%

1,443,372

100.00%

(10.35%)


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CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 19-03 ECONOMIC DEVELOPMENT


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 PERSONNEL SERVICES

75,674

76,912

80,080

73.39%

82,493

71.47%

3.01%

21-01 FICA TAXES

6,028

6,129

6,385

5.85%

6,586

5.71%

3.15%

22-01 RETIREMENT CONTRIBUTIONS

17,341

15,636

15,553

14.25%

17,501

15.16%

12.52%

23-01 GROUP HEALTH INSURANCE

5,021

6,308

6,943

6.36%

7,218

6.25%

3.96%

24-01 WORKERS COMPENSATION

163

159

159

0.15%

151

0.13%

(5.03%)

28-01 OTHER PERSONNEL SVCS

-

794

-

0.00%

1,473

1.28%

100.00%

TOTAL PERSONNEL SERVICES

104,226

105,939

109,120

56.31%

115,422

60.22%

5.78%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

54,660

70,103

25,331

29.92%

14,331

18.80%

(43.43%)

40-01 TRAVEL & PER DIEM

3,449

4,237

5,560

6.57%

7,960

10.44%

43.17%

41-01 COMMUNICATIONS SERVICES

1,615

962

780

0.92%

960

1.26%

23.08%

42-01 FREIGHT & POSTAGE SERVICE

889

677

4,179

4.94%

4,179

5.48%

0.00%

43-01 UTILITY SERVICES

10,656

-

-

0.00%

-

0.00%

0.00%

46-01 REPAIR & MAINT SERVICES

8

274

-

0.00%

-

0.00%

0.00%

47-01 PRINTING & BINDING

320

-

-

0.00%

-

0.00%

0.00%

48-01 PROMOTIONAL ACTIVITIES

7,754

48,350

46,300

54.70%

46,300

60.74%

0.00%

51-01 OFFICE SUPPLIES

377

995

1,000

1.18%

1,000

1.31%

0.00%

52-01 OPERATING SUPPLIES

417

477

500

0.59%

500

0.66%

0.00%

54-01 BOOKS/PUBS/SUBS/MEMS

2,688

1,030

1,000

1.18%

1,000

1.31%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

82,834

127,103

84,650

43.69%

76,230

39.78%

(9.95%)

TOTAL 19-03 ECONOMIC DEVELOPMENT

187,060

233,041

193,770

100.00%

191,652

100.00%

(1.09%)


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 19-04 NEIGHBORHOOD SERVICES


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

204,785

184,967

192,566

102.42%

185,619

97.00%

(3.61%)

13-01 TEMP SALARIES/WAGES

1,324

-

-

0.00%

-

0.00%

0.00%

15-01 SPECIAL PAY

-

793

-

0.00%

1,200

0.63%

100.00%

21-01 FICA TAXES

15,759

14,300

15,135

8.05%

14,164

7.40%

(6.42%)

22-01 RETIREMENT CONTRIBUTIONS

39,807

35,938

34,270

18.23%

38,611

20.18%

12.67%

23-01 GROUP HEALTH INSURANCE

21,788

23,236

20,652

10.98%

33,086

17.29%

60.21%

24-01 WORKERS COMPENSATION

438

433

385

0.20%

342

0.18%

(11.17%)

28-01 OTHER EMPLOYEE BENEFITS

-

1,685

-

0.00%

3,337

1.74%

100.00%

29-01 OTHER PERSONNEL SVCS

(78,613)

(86,618)

(75,000)

(39.89%)

(85,000)

(44.42%)

(13.33%)

TOTAL PERSONNEL SERVICES

205,288

174,734

188,008

87.65%

191,359

91.12%

1.78%


OPERATING EXPENDITURES/EXPENSES

40-01 TRAVEL & PER DIEM

2,645

3,284

4,400

16.61%

4,400

23.59%

0.00%

41-01 COMMUNICATIONS SERVICES

2,957

2,589

2,644

9.98%

1,960

10.51%

(25.87%)

42-01 FREIGHT & POSTAGE SERVICE

184

163

500

1.89%

200

1.07%

(60.00%)

44-01 RENTALS & LEASES

1,514

1,655

1,800

6.79%

1,800

9.65%

0.00%

45-01 INSURANCE

658

1,193

122

0.46%

118

0.63%

(3.28%)

46-01 REPAIR & MAINT SERVICES

1,284

1,065

1,832

6.91%

1,177

6.31%

(35.75%)

47-01 PRINTING & BINDING

-

-

500

1.89%

500

2.68%

0.00%

51-01 OFFICE SUPPLIES

871

767

1,500

5.66%

1,500

8.04%

0.00%

52-01 OPERATING SUPPLIES

9,596

2,814

12,700

47.93%

5,500

29.48%

(56.69%)

54-01 BOOKS/PUBS/SUBS/MEMS

263

521

500

1.89%

1,500

8.04%

200.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

19,972

14,053

26,498

12.35%

18,655

8.88%

(29.60%)

TOTAL 19-04 NEIGHBORHOOD SERVICES

225,260

188,787

214,506

100.00%

210,014

100.00%

(2.09%)


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 19-05 PLANNING


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

354,308

382,678

404,747

69.21%

461,781

66.87%

14.09%

13-01 TEMP SALARIES/WAGES

16,043

2,894

-

0.00%

-

0.00%

0.00%

14-01 OVERTIME

1,874

1,377

2,000

0.34%

2,000

0.29%

0.00%

15-01 SPECIAL PAY

601

602

600

0.10%

4,200

0.61%

600.00%

21-01 FICA TAXES

27,582

28,317

29,383

5.02%

33,527

4.86%

14.10%

22-01 RETIREMENT CONTRIBUTIONS

74,380

69,017

77,788

13.30%

95,721

13.86%

23.05%

23-01 GROUP HEALTH INSURANCE

45,210

61,101

69,441

11.87%

84,031

12.17%

21.01%

24-01 WORKERS COMPENSATION

719

707

810

0.14%

984

0.14%

21.48%

28-01 OTHER EMPLOYEE BENEFITS

-

3,507

-

0.00%

8,322

1.21%

100.00%

TOTAL PERSONNEL SERVICES

520,717

550,201

584,769

68.92%

690,566

84.43%

18.09%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

38,207

23,951

220,480

83.61%

90,000

70.68%

(59.18%)

40-01 TRAVEL & PER DIEM

8,121

8,792

11,900

4.51%

11,900

9.35%

0.00%

41-01 COMMUNICATIONS SERVICES

2,318

2,318

1,380

0.52%

1,440

1.13%

4.35%

42-01 FREIGHT & POSTAGE SERVICE

850

1,043

2,000

0.76%

2,000

1.57%

0.00%

47-01 PRINTING & BINDING

3,312

2,391

5,000

1.90%

5,000

3.93%

0.00%

51-01 OFFICE SUPPLIES

77

161

4,000

1.52%

3,000

2.36%

(25.00%)

52-01 OPERATING SUPPLIES

18,203

10,003

13,455

5.10%

8,500

6.68%

(36.83%)

54-01 BOOKS/PUBS/SUBS/MEMS

2,970

2,984

3,500

1.33%

3,500

2.75%

0.00%

55-01 TRAINING

149

-

2,000

0.76%

2,000

1.57%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

74,207

51,643

263,715

31.08%

127,340

15.57%

(51.71%)

TOTAL 19-05 PLANNING

594,924

601,843

848,484

100.00%

817,906

100.00%

(3.60%)


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 17-01 SUPPORT SVCS ADMIN


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

160,820

172,032

168,605

74.50%

173,701

72.23%

3.02%

15-01 SPECIAL PAY

1,200

1,293

-

0.00%

1,200

0.50%

100.00%

21-01 FICA TAXES

12,487

13,331

12,195

5.39%

12,364

5.14%

1.39%

22-01 RETIREMENT CONTRIBUTIONS

35,919

31,218

31,260

13.81%

35,320

14.69%

12.99%

23-01 GROUP HEALTH INSURANCE

12,322

12,864

13,918

6.15%

14,467

6.02%

3.94%

24-01 WORKERS COMPENSATION

355

335

338

0.15%

320

0.13%

(5.33%)

28-01 OTHER EMPLOYEE BENEFITS

-

1,675

-

0.00%

3,124

1.30%

100.00%

TOTAL PERSONNEL SERVICES

223,103

232,748

226,316

75.42%

240,496

76.78%

6.27%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

-

30,000

40,000

54.24%

40,000

54.99%

0.00%

40-01 TRAVEL & PER DIEM

1,252

659

3,500

4.75%

3,500

4.81%

0.00%

41-01 COMMUNICATIONS SERVICES

1,876

1,980

1,940

2.63%

2,640

3.63%

36.08%

47-01 PRINTING & BINDING

8

13

300

0.41%

300

0.41%

0.00%

48-01 PROMOTIONAL ACTIVITIES

238

-

2,250

3.05%

2,000

2.75%

(11.11%)

51-01 OFFICE SUPPLIES

682

866

750

1.02%

630

0.87%

(16.00%)

52-01 OPERATING SUPPLIES

2,908

29,009

8,950

12.14%

7,500

10.31%

(16.20%)

54-01 BOOKS/PUBS/SUBS/MEMS

1,386

1,176

1,300

1.76%

1,420

1.95%

9.23%

55-01 TRAINING

-

-

14,750

20.00%

14,750

20.28%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

8,350

63,704

73,740

24.58%

72,740

23.22%

(1.36%)

TOTAL 17-01 SUPPORT SVCS ADMIN

231,453

296,452

300,056

100.00%

313,236

100.00%

4.39%


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 17-02 CUSTOMER SERVICE


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

434,714

458,310

496,169

62.91%

520,077

60.12%

4.82%

13-01 TEMP SALARIES/WAGES

13,489

40,427

49,294

6.25%

63,542

7.34%

28.90%

14-01 OVERTIME

21,928

20,441

22,000

2.79%

22,000

2.54%

0.00%

15-01 SPECIAL PAY

2,503

2,796

1,500

0.19%

2,700

0.31%

80.00%

21-01 FICA TAXES

34,299

37,934

41,740

5.29%

44,433

5.14%

6.45%

22-01 RETIREMENT CONTRIBUTIONS

71,990

79,019

81,022

10.27%

90,929

10.51%

12.23%

23-01 GROUP HEALTH INSURANCE

67,598

85,442

93,185

11.82%

104,216

12.05%

11.84%

24-01 WORKERS COMPENSATION

3,553

4,602

3,784

0.48%

9,281

1.07%

145.27%

28-01 OTHER EMPLOYEE BENEFITS

-

4,049

-

0.00%

7,937

0.92%

100.00%

TOTAL PERSONNEL SERVICES

650,073

733,020

788,694

68.79%

865,115

70.98%

9.69%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

11,270

2,734

3,200

0.89%

3,200

0.90%

0.00%

40-01 TRAVEL & PER DIEM

99

248

2,850

0.80%

2,850

0.81%

0.00%

41-01 COMMUNICATIONS SERVICES

3,103

3,280

5,460

1.53%

5,580

1.58%

2.20%

42-01 FREIGHT & POSTAGE SERVICE

128,173

96,879

160,000

44.72%

150,000

42.40%

(6.25%)

44-01 RENTALS & LEASES

1,213

1,205

1,300

0.36%

-

0.00%

(100.00%)

45-01 INSURANCE

-

-

285

0.08%

261

0.07%

(8.42%)

46-01 REPAIR & MAINT SERVICES

6,525

10,683

16,653

4.65%

12,552

3.55%

(24.63%)

47-01 PRINTING & BINDING

27,225

20,403

38,000

10.62%

38,000

10.74%

0.00%

48-01 PROMOTIONAL ACTIVITIES

-

-

500

0.14%

500

0.14%

0.00%

49-01 OTHER CHARGES/OBLIGATIONS

114,660

131,526

114,000

31.87%

125,300

35.42%

9.91%

51-01 OFFICE SUPPLIES

4,844

4,212

6,500

1.82%

6,500

1.84%

0.00%

52-01 OPERATING SUPPLIES

8,904

14,440

9,000

2.52%

9,000

2.54%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

306,017

285,610

357,748

31.21%

353,743

29.02%

(1.12%)

TOTAL 17-02 CUSTOMER SERVICE

956,090

1,018,630

1,146,442

100.00%

1,218,858

100.00%

6.32%


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 17-03 FINANCE


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

569,484

556,273

576,628

71.72%

598,718

69.54%

3.83%

13-01 TEMP SALARIES/WAGES

-

-

8,000

1.00%

8,000

0.93%

0.00%

14-01 OVERTIME

944

1,116

4,000

0.50%

4,000

0.46%

0.00%

15-01 SPECIAL PAY

328

-

-

0.00%

-

0.00%

0.00%

21-01 FICA TAXES

42,172

40,800

43,006

5.35%

45,041

5.23%

4.73%

22-01 RETIREMENT CONTRIBUTIONS

111,068

100,380

100,328

12.48%

116,432

13.52%

16.05%

23-01 GROUP HEALTH INSURANCE

71,714

83,665

91,497

11.38%

95,102

11.05%

3.94%

24-01 WORKERS COMPENSATION

1,210

1,590

1,170

0.15%

1,881

0.22%

60.77%

28-01 OTHER EMPLOYEE BENEFITS

-

5,586

-

0.00%

10,351

1.20%

100.00%

29-01 OTHER PERSONNEL SVCS

(23,887)

(16,275)

(20,627)

(2.57%)

(18,564)

(2.16%)

10.00%

TOTAL PERSONNEL SERVICES

773,033

773,135

804,002

94.31%

860,961

94.47%

7.08%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

16,563

17,864

18,000

37.13%

18,000

35.71%

0.00%

40-01 TRAVEL & PER DIEM

1,269

680

3,260

6.72%

3,260

6.47%

0.00%

41-01 COMMUNICATIONS SERVICES

2,690

3,045

8,520

17.57%

10,440

20.71%

22.54%

42-01 FREIGHT & POSTAGE SERVICE

2,969

2,947

5,500

11.34%

5,500

10.91%

0.00%

47-01 PRINTING & BINDING

2,965

2,125

3,000

6.19%

3,000

5.95%

0.00%

48-01 PROMOTIONAL ACTIVITIES

-

-

500

1.03%

500

0.99%

0.00%

51-01 OFFICE SUPPLIES

7,060

3,123

4,200

8.66%

4,200

8.33%

0.00%

52-01 OPERATING SUPPLIES

2,462

2,879

4,000

8.25%

4,000

7.94%

0.00%

54-01 BOOKS/PUBS/SUBS/MEMS

385

1,498

1,500

3.09%

1,500

2.98%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

36,363

34,161

48,480

5.69%

50,400

5.53%

3.96%

TOTAL 17-03 FINANCE

809,396

807,296

852,482

100.00%

911,361

100.00%

6.91%


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 17-04 HUMAN RESOURCES


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

320,789

344,277

327,101

64.67%

336,149

63.64%

2.77%

13-01 TEMP SALARIES/WAGES

4,148

16,740

32,500

6.43%

24,000

4.54%

(26.15%)

14-01 OVERTIME

1,416

1,546

3,400

0.67%

3,400

0.64%

0.00%

15-01 SPECIAL PAY

2,400

1,693

-

0.00%

1,200

0.23%

100.00%

21-01 FICA TAXES

24,033

26,561

24,859

4.91%

26,641

5.04%

7.17%

22-01 RETIREMENT CONTRIBUTIONS

48,057

62,958

59,236

11.71%

68,100

12.89%

14.96%

23-01 GROUP HEALTH INSURANCE

46,881

58,222

58,034

11.47%

60,312

11.42%

3.93%

24-01 WORKERS COMPENSATION

717

717

679

0.13%

2,409

0.46%

254.79%

28-01 OTHER EMPLOYEE BENEFITS

-

3,449

-

0.00%

6,025

1.14%

100.00%

TOTAL PERSONNEL SERVICES

448,441

516,162

505,809

88.30%

528,236

88.13%

4.43%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

3,838

12,905

15,000

22.39%

15,000

21.08%

0.00%

40-01 TRAVEL & PER DIEM

2,937

7,852

6,800

10.15%

6,800

9.56%

0.00%

41-01 COMMUNICATIONS SERVICES

3,229

2,992

2,820

4.21%

5,240

7.36%

85.82%

42-01 FREIGHT & POSTAGE SERVICE

430

1,268

2,000

2.99%

2,075

2.92%

3.75%

46-01 REPAIR & MAINT SERVICES

379

-

700

1.04%

1,200

1.69%

71.43%

47-01 PRINTING & BINDING

2,390

2,593

3,000

4.48%

5,273

7.41%

75.77%

51-01 OFFICE SUPPLIES

6,242

5,975

6,682

9.97%

7,800

10.96%

16.73%

52-01 OPERATING SUPPLIES

13,366

18,951

21,000

31.35%

20,200

28.39%

(3.81%)

54-01 BOOKS/PUBS/SUBS/MEMS

1,710

3,238

1,675

2.50%

2,400

3.37%

43.28%

55-01 TRAINING

1,699

271

7,313

10.92%

5,175

7.27%

(29.24%)

99-99 OTHER USES

184

-

-

0.00%

-

0.00%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

36,403

56,044

66,990

11.70%

71,163

11.87%

6.23%

TOTAL 17-04 HUMAN RESOURCES

484,844

572,206

572,799

100.00%

599,399

100.00%

4.64%


image

78


image

Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 17-06 PURCHASING


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

183,988

188,789

203,902

68.73%

210,038

67.23%

3.01%

13-01 TEMP SALARIES/WAGES

-

266

-

0.00%

-

0.00%

0.00%

14-01 OVERTIME

-

52

1,000

0.34%

-

0.00%

(100.00%)

15-01 SPECIAL PAY

400

-

-

0.00%

-

0.00%

0.00%

21-01 FICA TAXES

13,327

13,364

14,596

4.92%

15,084

4.83%

3.34%

22-01 RETIREMENT CONTRIBUTIONS

43,106

38,886

37,401

12.61%

42,250

13.52%

12.96%

23-01 GROUP HEALTH INSURANCE

26,072

35,875

39,356

13.27%

40,895

13.09%

3.91%

24-01 WORKERS COMPENSATION

436

428

407

0.14%

385

0.12%

(5.41%)

28-01 OTHER EMPLOYEE BENEFITS

-

2,124

-

0.00%

3,751

1.20%

100.00%

TOTAL PERSONNEL SERVICES

267,329

279,783

296,662

95.52%

312,403

95.74%

5.31%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

513

35

4,000

28.78%

4,000

28.78%

0.00%

40-01 TRAVEL & PER DIEM

1,339

911

900

6.47%

900

6.47%

0.00%

41-01 COMMUNICATIONS SERVICES

766

714

1,300

9.35%

1,300

9.35%

0.00%

42-01 FREIGHT & POSTAGE SERVICE

1,265

1,019

1,300

9.35%

1,300

9.35%

0.00%

47-01 PRINTING & BINDING

547

497

600

4.32%

700

5.04%

16.67%

48-01 PROMOTIONAL ACTIVITIES

11

-

-

0.00%

-

0.00%

0.00%

49-01 OTHER CHARGES/OBLIGATIONS

110

-

300

2.16%

300

2.16%

0.00%

51-01 OFFICE SUPPLIES

3,140

1,106

3,000

21.58%

3,000

21.58%

0.00%

54-01 BOOKS/PUBS/SUBS/MEMS

705

775

1,100

7.91%

1,000

7.19%

(9.09%)

55-01 TRAINING

475

-

1,400

10.07%

1,400

10.07%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

8,871

5,057

13,900

4.48%

13,900

4.26%

0.00%

TOTAL 17-06 PURCHASING

276,201

284,840

310,562

100.00%

326,303

100.00%

5.07%


image

79


image

Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 17-07 COMMUNITY RELATIONS


FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

131,428

141,732

142,230

69.33%

146,494

65.40%

3.00%

14-01 PERSONNEL SERVICES

502

2,386

1,200

0.58%

1,200

0.54%

0.00%

21-01 FICA TAXES

9,843

10,782

10,739

5.23%

11,086

4.95%

3.23%

22-01 RETIREMENT CONTRIBUTIONS

29,004

26,093

25,655

12.51%

29,298

13.08%

14.20%

23-01 GROUP HEALTH INSURANCE

18,002

22,712

25,033

12.20%

32,945

14.71%

31.61%

24-01 WORKERS COMPENSATION

285

288

285

0.14%

347

0.15%

21.75%

28-01 OTHER PERSONNEL SVCS

-

1,427

-

0.00%

2,638

1.18%

100.00%

TOTAL PERSONNEL SERVICES

189,064

205,419

205,142

67.04%

224,008

68.65%

9.20%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

6,997

3,931

21,300

21.12%

21,300

20.82%

0.00%

40-01 TRAVEL & PER DIEM

499

1,120

3,300

3.27%

3,300

3.23%

0.00%

41-01 COMMUNICATIONS SERVICES

1,980

1,926

5,125

5.08%

6,565

6.42%

28.10%

46-01 REPAIR & MAINT SERVICES

844

184

1,925

1.91%

1,925

1.88%

0.00%

47-01 PRINTING & BINDING

10

15

160

0.16%

160

0.16%

0.00%

48-01 PROMOTIONAL ACTIVITIES

27,176

31,097

37,490

37.18%

37,490

36.65%

0.00%

51-01 OFFICE SUPPLIES

1,831

63

1,848

1.83%

1,848

1.81%

0.00%

52-01 OPERATING SUPPLIES

3,539

28,998

29,397

29.15%

29,397

28.74%

0.00%

54-01 BOOKS/PUBS/SUBS/MEMS

101

255

300

0.30%

300

0.29%

0.00%

55-01 TRAINING

1,086

595

-

0.00%

-

0.00%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

44,062

68,184

100,845

32.96%

102,285

31.35%

1.43%

TOTAL 17-07 COMMUNITY RELATIONS

233,127

273,603

305,987

100.00%

326,293

100.00%

6.64%


image

80


Titusville City Seal

CITY OF TITUSVILLE EXPENDITURE SUMMARY BY TYPE

image

FY2019 ADOPTED BUDGET 55-55 NON-DEPARTMENTAL



FUND: 001 - GENERAL FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019

PERSONNEL SERVICES


11-04 INVENTORY EXPENSE - POSTAGE (287)

-

-

-

-

-

­

23-04 GROUP HEALTH INSURANCE - CLINIC 104,355

156,533

203,881

16.69%

203,881

16.56%

­

25-01 UNEMPLOYMENT COMPENSATION - UNEMPLOYMENT COMPENSATION 2,386

2,413

4,000

0.33%

2,491

0.20%

(37.73%)

28-01 OTHER EMPLOYEE BENEFITS - OPEB - HEALTH 789,975

870,222

934,770

76.53%

950,599

77.21%

1.69%

28-03 OTHER EMPLOYEE BENEFITS - OPEB - DENTAL 64,375

63,813

62,969

5.16%

63,430

5.15%

0.73%

29-99 OTHER PERSONNEL SVCS - EXPENSE CREDIT - LABOR -

-

15,774

1.29%

10,710

0.87%

(32.10%)

TOTAL PERSONNEL SERVICES $960,805

$1,092,981

$1,221,394

8.60%

$1,231,111

8.85%

0.80%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES - PROFESSIONAL SERVICES

39,713

12,000

126,930

3.42%

12,000

0.34%

(90.55%)

32-00 ACCOUNTING & AUDITING

91,000

78,000

65,000

1.75%

67,000

1.90%

3.08%

34-40 OTHER SERVICES - CONSTRUCTION SERVICES

137,146

12,691

12,691

0.34%

12,691

0.36%

­

40-80 TRAVEL & PER DIEM - TUITION REIMBURSEMENT

42,123

116,537

140,000

3.78%

140,000

3.97%

­

43-01 UTILITY SERVICES - UTILITY SERVICES

583,048

625,613

650,000

17.53%

650,000

18.41%

­

44-01 RENTALS & LEASES - RENTALS & LEASES

187,736

140,549

125,718

3.39%

44,942

1.27%

(64.25%)

45-10 INSURANCE - GENERAL LIABILITY

350,509

385,219

281,493

7.59%

223,181

6.32%

(20.72%)

49-02 OTHER CHARGES/OBLIGATIONS - MIS CHARGES

1,384,722

1,458,548

1,284,642

34.65%

1,284,476

36.38%

(0.01%)

49-19 OTHER CHARGES/OBLIGATIONS - TAX INCREMENT PAYMENT CRA

486,526

505,700

566,062

15.27%

614,238

17.40%

8.51%

49-21 OTHER CHARGES/OBLIGATIONS - TAX INCREMENT ECON DEV ZN

52,787

142,693

240,327

6.48%

416,799

11.81%

73.43%

49-45 OTHER CHARGES/OBLIGATIONS - FIREWORKS

-

-

4,418

0.12%

-

-

(100.00%)

49-80 OTHER CHARGES/OBLIGATIONS - BANK CHARGES

54,031

44,899

60,000

1.62%

50,000

1.42%

(16.67%)

52-02 OPERATING SUPPLIES - FLAG MEMORIAL

1,451

284

516

0.01%

-

-

(100.00%)

52-04 OPERATING SUPPLIES - FLAG OUTREACH PROGRAMS

156

745

1,160

0.03%

-

-

(100.00%)

52-23 OPERATING SUPPLIES - SPECIAL EVENTS

-

-

45,576

1.23%

14,942

0.42%

(67.22%)

52-70 OPERATING SUPPLIES - NEW BUSINESS GRANT

107,353

90,979

102,710

2.77%

-

-

(100.00%)

99-99 OTHER USES - CLEARING ACCOUNT (PI)

-

3,819

-

-

-

-

­

99-99 OTHER USES - MISCELLANEOUS

(197,138)

(52,772)

-

-

-

-

­

TOTAL OPERATING EXPENDITURES/EXPENSES

$3,321,164

$3,565,503

$3,707,243

26.10%

$3,530,269

25.37%

(4.77%)


CAPITAL

64-00 MACHINERY & EQUIPMENT

56,765

257,737

886,094

43.08%

460,000

38.67%

(48.09%)

64-20 MACHINERY & EQUIPMENT - VEHICLES

549,213

1,784,448

1,170,655

56.92%

729,479

61.33%

(37.69%)

68-01 INTANGIBLE ASSETS - INTANGIBLE ASSETS

1,307

-

-

-

-

-

­

TOTAL CAPITAL

$607,285

$2,042,184

$2,056,749

14.48%

$1,189,479

8.55%

(42.17%)


DEBT SERVICE

71-40 PRINCIPAL - CAPITAL LEASE PAYMENT

568,969

746,801

925,579

94.72%

1,132,052

92.52%

22.31%

72-40 INTEREST - CAPITAL LEASE EXPENSE

37,421

38,127

51,554

5.28%

91,500

7.48%

77.48%

73-02 OTHER DEBT SERVICE COSTS - FISCAL AGENT FEES

1,907

500

-

-

-

-

­

99-98 OTHER USES - PRINCIPAL RECLASS

132,171

163,848

-

-

-

-

­

TOTAL DEBT SERVICE

$740,468

$949,276

$977,133

6.88%

$1,223,552

8.79%

25.22%


GRANTS & AID


    1. AIDS TO PRIVATE ORGS - TAX INCENTIVE 12,500 12,500 - - - - ­

      image

      TOTAL GRANTS & AID $12,500 $12,500 - - - - ­

      image


      81


      Titusville City Seal

      CITY OF TITUSVILLE EXPENDITURE SUMMARY BY TYPE

      image

      FY2019 ADOPTED BUDGET 55-55 NON-DEPARTMENTAL



      FUND: 001 - GENERAL FUND

      REVISED

      % OF

      FY2019

      % OF

      % CHANGE

      ACTUAL

      ACTUAL

      BUDGET

      REVISED

      ADOPTED

      PROPOSED

      FY2018 TO

      FY2016

      FY2017

      FY2018

      BUDGET

      BUDGET

      BUDGET

      FY2019


      OPERATING TRANSFERS OUT

      11-21 INTERFUND TRANSFER - CDBG

      -

      -

      30,000

      8.37%

      -

      -

      (100.00%)

      11-23 INTERFUND TRANSFER - SHIP

      -

      -

      3,000

      0.84%

      -

      -

      (100.00%)

      12-02 INTERFUND TRANSFER - MPRB

      67,831

      -

      -

      -

      -

      -

      ­

      13-01 INTERFUND TRANSFER - GEN'L CONSTRUCTION

      317,600

      207,000

      2,170

      0.61%

      -

      -

      (100.00%)

      13-03 INTERFUND TRANSFER - ROADS & STREETS

      1,092,431

      10,000

      195,000

      54.42%

      710,000

      100.00%

      264.10%

      14-05 INTERFUND TRANSFER - MUNICIPAL MARINA

      60,143

      65,687

      25,425

      7.10%

      -

      -

      (100.00%)

      15-02 INTERFUND TRANSFER - MIS

      -

      17,700

      102,700

      28.66%

      -

      -

      (100.00%)

      15-11 INTERFUND TRANSFER - PARTIALLY SELF INSURED

      1,063,411

      359,044

      -

      -

      -

      -

      ­

      TOTAL OPERATING TRANSFERS OUT

      $2,601,416

      $659,431

      $358,295

      2.52%

      $710,000

      5.10%

      98.16%


      FUND BALANCE ALLOCATION

      11-01 CY FUND BALANCE - UNASSIGNED

      -

      -

      163,856

      2.78%

      -

      -

      (100.00%)

      11-02 CY FUND BALANCE - ASSIGNED

      -

      -

      180,122

      3.06%

      160,000

      2.65%

      (11.17%)

      11-03 CY FUND BALANCE - COMMITTED

      -

      -

      5,451,732

      92.65%

      5,700,000

      94.53%

      4.55%

      11-04 CY FUND BALANCE - RESTRICTED

      -

      -

      87,673

      1.49%

      80,000

      1.33%

      (8.75%)

      11-05 CY FUND BALANCE - CONTINGENCY - UNASSIGNED

      -

      2,391

      789

      0.01%

      90,000

      1.49%

      11,306.84%

      TOTAL FUND BALANCE ALLOCATION

      -

      $2,391

      $5,884,172

      41.42%

      $6,030,000

      43.34%

      2.48%

      TOTAL FUND: 001 - GENERAL FUND

      $8,243,638

      $8,324,267

      $14,204,986

      100.00%

      $13,914,411

      100.00%

      (2.05%)


      82


      Titusville City Seal

      Departmental Capital Outlay Schedule Fiscal Year 2019




      Fund/Dept


      Dept Name


      Account Number


      Project


      Description

      Adopted Annual Budget


      001/0901


      Fire & Emergency Services


      001-5555-580.64-00


      Z01901

      (40) MSA G1 SCBA air packs, (65) MSA G1 SCBA facemasks, (100) MSA composite 4500psi 45 minute SCBA bottles, (1) Scott compressor and revolair fill station (1) Fit test machine with 5 Year calibration and maintenance option (Financed)


      $ 400,000

      001/1707

      Community Relations

      001-5555-580.64-00

      Z01902

      Closed caption encoder bundle

      $ 60,000

      TOTAL FOR GENERAL FUND CURRENT OPERATIONS

      $ 460,000

      401/1615

      Water Production

      401-5555-580.64-00

      Z01903

      Drive Unit (6MGD Clarifier)

      $ 145,000

      401/1615

      Water Production

      401-5555-580.64-00

      Z01904

      Chlorine Skid

      $ 44,000

      TOTAL FOR WATER & SEWER FUND CURRENT OPERATIONS

      $ 189,000

      404/1512

      Solid Waste Refuse

      404-5555-580.64-00

      Z01905

      Dumpsters

      $ 50,000

      404/1512

      Solid Waste Refuse

      404-5555-580.64-00

      Z01906

      Automated Carts

      $ 50,000

      TOTAL FOR SOLID WASTE FUND CURRENT OPERATIONS

      $ 100,000

      405

      Municipal Marina

      405-5555-580.64-00

      Z01907

      Mooring Attachments

      $ 30,000

      405

      Municipal Marina

      405-5555-580.64-00

      Z01908

      Bathroom Remodel

      $ 35,000

      TOTAL FOR MUNICIPAL MARINA FUND CURRENT OPERATIONS

      $ 65,000

      GRAND TOTAL

      $ 814,000


      83


      Titusville City Seal

      Vehicle Capital Outlay Schedule Fiscal Year 2019


      Fund

      Dept Name

      Account Number

      Project

      Description

      Adopted Annual Budget

      001

      Law Enforcement

      001-5555-580.64-20

      Z01914

      11 Vehicles (8 Interceptors@$41,840; 3 Impalas@$24,849) (Lease Buyout)

      $ 66,689


      001


      Law Enforcement


      001-5555-580.64-20


      Z01915

      10 Vehicles (replacements of high mileage/deferred vehicles (#8256, 8405, 8409, 8411, 8438,

      8496, 8521, 8434, 8360, 8443). (Financed)


      $ 511,790

      001

      Fire & Emergency Services

      001-5555-580.64-20

      Z01916

      2018/19 Chevrolet Traverse 4X2 Utility Vehicle with all associated equipment (Financed)

      $ 36,000

      001

      Public Works-Facilities

      001-5555-580.64-20

      Z01917

      2019 1/2-Ton Extended Cab Pickup-Replace Veh#2858 (Financed)

      $ 25,000

      001

      Public Works-Streets

      001-5555-580.64-20

      Z01918

      2019 1/2-Ton Extended Cab Pickup-Replace Veh#4709 (Financed)

      $ 25,000

      001

      Public Works-Streets

      001-5555-580.64-20

      Z01919

      2019 1-Ton Extended Cab Pickup-Replace Veh#5624 (Financed)

      $ 40,000

      001

      Public Works-Streets

      001-5555-580.64-20

      Z01920

      2019 1/2-Ton Extended Cab Pickup-Replace Veh#8031 (Financed)

      $ 25,000

      001

      TOTAL GENERAL FUND

      $ 729,479

      401

      Water & Sewer Utility-Field Operations

      401-5555-580.64-20

      Z01921

      1-Ton Van-Replaces Veh#8202

      $ 49,900

      401

      Water & Sewer Utility-Field Operations

      401-5555-580.64-20

      Z01922

      1-Ton 4X4 Service Truck w/Utility Style Svc Body & Crane-Replaces Veh#8156

      $ 71,000

      401

      Water & Sewer Utility-Water Reclamation

      401-5555-580.64-20

      Z01923

      Kubota M5-091 4-WD Tractor w/Loader-Replaces '93 Ford 7740 2-WD Tractor w/Loader

      $ 50,000

      401

      TOTAL WATER & SEWER UTILITY FUND

      $ 170,900

      404

      Solid Waste-Refuse

      404-5555-580.64-20

      Z01924

      2019 Front-End Loader Garbage Truck-Replace Veh#8334 (Financed)

      $ 265,000

      404

      Solid Waste-Refuse

      404-5555-580.64-20

      Z01925

      2019 1/2-Ton Extended Cab Pickup-Replace Veh#7994

      $ 25,000

      404

      Solid Waste-Refuse

      404-5555-580.64-20

      Z01926

      2019 1/2-Ton Extended Cab Pickup-Replace Veh#7988

      $ 25,000

      404

      TOTAL SOLID WASTE FUND

      $ 315,000

      406

      Stormwater Utility Management Fund

      406-5555-580.64-20

      Z01927

      2019 Gradall 4100-Replace Veh#8397 (Financed)

      $ 450,000

      406

      Stormwater Utility Management Fund

      406-5555-580.64-20

      Z01928

      2019 3/4-Ton 4X4 Crew Cab Pickup-Replace Veh#8369

      $ 40,000

      406

      TOTAL STORMWATER UTILITY FUND

      $ 490,000

      TOTAL FLEET REPLACEMENT FOR CURRENT OPERATIONS

      $ 1,705,379


      84


      Titusville City Seal

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      85


      Titusville City Seal

      CITY OF TITUSVILLE

      image

      FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



      FUND: 104 - CRA

      REVISED

      % OF

      FY2019

      % OF

      % CHANGE

      ACTUAL

      ACTUAL

      BUDGET

      REVISED

      ADOPTED

      PROPOSED

      FY2018 TO

      FY2016

      FY2017

      FY2018

      BUDGET

      BUDGET

      BUDGET

      FY2019


      PROPERTY TAXES

      311.50-01 TAX INCREMENT - BREVARD COUNTY

      280,157

      288,138

      301,924

      34.78%

      302,995

      33.03%

      0.35%

      311.50-03 TAX INCREMENT - CITY OF TITUSVILLE

      486,526

      505,700

      566,062

      65.22%

      614,238

      66.97%

      8.51%

      TOTAL PROPERTY TAXES

      $766,683

      $793,838

      $867,986

      89.65%

      $917,233

      90.17%

      5.67%


      INVESTMENT EARNINGS

      361.15-10 INTEREST ON INVESTMENTS - CUSTODIAL INTEREST - PE

      6,357

      6,642

      -

      -

      -

      -

      -

      361.30-00 NET INC/DEC MARKET VALUE

      (1,253)

      (3,512)

      -

      -

      -

      -

      -

      TOTAL INVESTMENT EARNINGS

      $5,105

      $3,130

      -

      -

      -

      -

      -


      PRIOR YEAR APPROPRIATIONS

      389.11-04 PRIOR YEAR APPROPRIATION - RESTRICTED

      -

      -

      100,247

      100.00%

      100,000

      100.00%

      (0.25%)

      TOTAL PRIOR YEAR APPROPRIATIONS

      -

      -

      $100,247

      10.35%

      $100,000

      9.83%

      (0.25%)


      INTERFUND TRANSFERS IN

      381.13-04 TRANSFER FROM - CRA CAPITAL PROJECTS

      -

      10,896

      -

      -

      -

      -

      -

      TOTAL INTERFUND TRANSFERS IN

      -

      $10,896

      -

      -

      -

      -

      -

      TOTAL FUND: 104 - CRA

      $771,788

      $807,864

      $968,233

      0.65%

      $1,017,233

      0.85%

      5.06%


      86


      Titusville City Seal

      CITY OF TITUSVILLE

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      image

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      FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


      FUND: 104 - CRA


      ACTUAL FY2016


      ACTUAL FY2017

      REVISED BUDGET FY2018

      % OF REVISED BUDGET

      FY2019 ADOPTED BUDGET

      % OF PROPOSED BUDGET

      % CHANGE FY2018 TO FY2019


      PERSONNEL SERVICES

      12-01 SALARIES/WAGES

      21-01 FICA TAXES

      22-01 RETIREMENT CONTRIBUTIONS

      23-01 GROUP HEALTH INSURANCE

      24-01 WORKERS COMPENSATION

      28-01 OTHER EMPLOYEE BENEFITS

      TOTAL PERSONNEL SERVICES

      49,956

      3,742

      9,856

      9,124

      104

      -

      $72,783

      54,866

      4,084

      9,728

      11,555

      113

      567

      $80,913

      67,704

      5,054

      9,418

      17,793

      792

      -

      $100,761

      67.19%

      5.02%

      9.35%

      17.66%

      0.79%

      -

      10.41%

      69,722

      5,208

      10,721

      18,248

      751

      1,026

      $105,676

      65.98%

      4.93%

      10.15%

      17.27%

      0.71%

      0.97%

      10.39%

      2.98%

      3.05%

      13.84%

      2.56%

      (5.18%)

      100.00%

      4.88%


      OPERATING EXPENDITURES/EXPENSES

      31-01 PROFESSIONAL SERVICES

      40-01 TRAVEL & PER DIEM

      41-01 COMMUNICATIONS SERVICES

      43-01 UTILITY SERVICES

      46-01 REPAIR & MAINT SERVICES

      48-01 PROMOTIONAL ACTIVITIES

      49-01 OTHER CHARGES/OBLIGATIONS

      52-01 OPERATING SUPPLIES

      54-01 BOOKS/PUBS/SUBS/MEMS

      99-99 OTHER USES

      TOTAL OPERATING EXPENDITURES/EXPENSES

      18,694

      3,036

      362

      30,924

      71,533

      33,862

      7,445

      878

      451

      331

      $167,516

      21,952

      2,991

      362

      60,415

      69,724

      503

      30,749

      635

      - 34

      $187,364

      60,000

      3,790

      360

      32,000

      120,182

      14,400

      25,195

      400

      1,200

      -

      $257,527

      23.30%

      1.47%

      0.14%

      12.43%

      46.67%

      5.59%

      9.78%

      0.16%

      0.47%

      -

      26.60%

      35,000

      3,400

      480

      55,000

      85,000

      4,000

      31,691

      400

      1,200

      -

      $216,171

      16.19%

      1.57%

      0.22%

      25.44%

      39.32%

      1.85%

      14.66%

      0.19%

      0.56%

      -

      21.25%

      (41.67%)

      (10.29%)

      33.33%

      71.88%

      (29.27%)

      (72.22%)

      25.78%

      -

      -

      -

      (16.06%)


      DEBT SERVICE

      99-98 OTHER USES

      (11,183)

      ($11,183)

      (14,716)

      ($14,716)

      -

      -

      -

      -

      -

      -

      -

      -

      -

      -

      TOTAL DEBT SERVICE


      OPERATING TRANSFERS OUT

      10-01 INTERFUND TRANSFER

      12-01 INTERFUND TRANSFER

      13-01 INTERFUND TRANSFER

      15-01 INTERFUND TRANSFER

      TOTAL OPERATING TRANSFERS OUT

      14,716

      123,350

      280,000

      -

      $418,066

      14,716

      124,225

      500,633

      1,541

      $641,115

      14,717

      124,081

      369,401

      -

      $508,199

      2.90%

      24.42%

      72.69%

      -

      52.49%

      14,717

      123,165

      359,200

      -

      $497,082

      2.96%

      24.78%

      72.26%

      -

      48.87%

      - (0.74%)

      (2.76%)

      -

      (2.19%)


      FUND BALANCE ALLOCATION

      11-01 CY FUND BALANCE

      TOTAL FUND BALANCE ALLOCATION

      -

      -

      -

      -

      101,746

      $101,746

      100.00%

      10.51%

      198,304

      $198,304

      100.00%

      19.49%

      94.90%

      94.90%

      TOTAL FUND: 104 - CRA

      $647,181

      $894,677

      $968,233

      0.63%

      $1,017,233

      0.84%

      5.06%


      image

      image

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      87


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      Titusville City Seal

      CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 19-05 PLANNING


      FUND: 104 - CRA


      ACTUAL FY2016


      ACTUAL FY2017

      REVISED BUDGET FY2018

      % OF REVISED BUDGET

      FY2019 ADOPTED BUDGET

      % OF PROPOSED BUDGET

      % CHANGE FY2018 TO FY2019


      PERSONNEL SERVICES

      12-01 SALARIES/WAGES

      21-01 FICA TAXES

      22-01 RETIREMENT CONTRIBUTIONS

      23-01 GROUP HEALTH INSURANCE

      24-01 WORKERS COMPENSATION

      28-01 OTHER EMPLOYEE BENEFITS

      TOTAL PERSONNEL SERVICES

      49,956

      3,742

      9,856

      8,329

      104

      -

      71,988

      54,866

      4,084

      9,728

      10,362

      113

      567

      79,720

      67,704

      5,054

      9,418

      11,422

      792

      -

      94,390

      71.73%

      5.35%

      9.98%

      12.10%

      0.84%

      0.00%

      97.16%

      69,722

      5,208

      10,721

      11,877

      751

      1,026

      99,305

      70.21%

      5.24%

      10.80%

      11.96%

      0.76%

      1.03%

      97.18%

      2.98%

      3.05%

      13.84%

      3.98%

      (5.18%)

      100.00%

      5.21%


      OPERATING EXPENDITURES/EXPENSES

      40-01 TRAVEL & PER DIEM

      41-01 COMMUNICATIONS SERVICES

      TOTAL OPERATING EXPENDITURES/EXPENSES

      TOTAL 19-05 PLANNING

      2,412

      362

      2,774

      74,762

      2,414

      362

      2,776

      82,496

      2,400

      360

      2,760

      97,150

      86.96%

      13.04%

      2.84%

      100.00%

      2,400

      480

      2,880

      102,185

      83.33%

      16.67%

      2.82%

      100.00%

      0.00%

      33.33%

      4.35%

      5.18%


      88


      Titusville City Seal

      CITY OF TITUSVILLE EXPENDITURE SUMMARY BY TYPE

      image

      FY2019 ADOPTED BUDGET 55-55 NON-DEPARTMENTAL



      FUND: 104 - CRA

      REVISED

      % OF

      FY2019

      % OF

      % CHANGE

      ACTUAL

      ACTUAL

      BUDGET

      REVISED

      ADOPTED

      PROPOSED

      FY2018 TO

      FY2016

      FY2017

      FY2018

      BUDGET

      BUDGET

      BUDGET

      FY2019


      PERSONNEL SERVICES

      23-04 GROUP HEALTH INSURANCE - CLINIC

      795

      1,193

      6,371

      100.00%

      6,371

      100.00%

      -

      TOTAL PERSONNEL SERVICES

      $795

      $1,193

      $6,371

      0.73%

      $6,371

      0.70%

      -


      OPERATING EXPENDITURES/EXPENSES

      31-01 PROFESSIONAL SERVICES - PROFESSIONAL SERVICES

      18,694

      21,952

      60,000

      23.55%

      35,000

      16.41%

      (41.67%)

      40-01 TRAVEL & PER DIEM - TRAVEL & PER DIEM

      624

      577

      1,390

      0.55%

      1,000

      0.47%

      (28.06%)

      43-01 UTILITY SERVICES - UTILITY SERVICES

      30,924

      60,415

      32,000

      12.56%

      55,000

      25.79%

      71.88%

      46-01 REPAIR & MAINT SERVICES - REPAIR & MAINT SERVICES

      71,533

      69,724

      120,182

      47.17%

      85,000

      39.85%

      (29.27%)

      48-01 PROMOTIONAL ACTIVITIES - PROMOTIONAL ACTIVITIES

      33,862

      503

      14,400

      5.65%

      4,000

      1.88%

      (72.22%)

      49-01 OTHER CHARGES/OBLIGATIONS - OTHER CHARGES/OBLIGATIONS

      7,445

      30,749

      25,195

      9.89%

      31,691

      14.86%

      25.78%

      52-01 OPERATING SUPPLIES - OPERATING SUPPLIES

      878

      635

      400

      0.16%

      400

      0.19%

      -

      54-01 BOOKS/PUBS/SUBS/MEMS - BOOKS/PUBS/SUBS/MEMS

      451

      -

      1,200

      0.47%

      1,200

      0.56%

      -

      99-99 OTHER USES - MISCELLANEOUS

      331

      34

      -

      -

      -

      -

      -

      TOTAL OPERATING EXPENDITURES/EXPENSES

      $164,742

      $184,589

      $254,767

      29.25%

      $213,291

      23.31%

      (16.28%)


      DEBT SERVICE

      99-98 OTHER USES - PRINCIPAL RECLASS

      (11,183)

      (14,716)

      -

      -

      -

      -

      -

      TOTAL DEBT SERVICE

      ($11,183)

      ($14,716)

      -

      -

      -

      -

      -


      OPERATING TRANSFERS OUT

      10-01 INTERFUND TRANSFER - GENERAL FUND

      14,716

      14,716

      14,717

      2.90%

      14,717

      2.96%

      -

      12-07 INTERFUND TRANSFER - BANK LOAN DEBT SERVICE

      123,350

      124,225

      124,081

      24.42%

      123,165

      24.78%

      (0.74%)

      13-04 INTERFUND TRANSFER - CRA CAPITAL PROJECTS

      280,000

      500,633

      369,401

      72.69%

      359,200

      72.26%

      (2.76%)

      15-11 INTERFUND TRANSFER - PARTIALLY SELF INSURED

      -

      1,541

      -

      -

      -

      -

      -

      TOTAL OPERATING TRANSFERS OUT

      $418,066

      $641,115

      $508,199

      58.34%

      $497,082

      54.32%

      (2.19%)


      FUND BALANCE ALLOCATION

      11-04 CY FUND BALANCE - RESTRICTED

      -

      -

      101,746

      100.00%

      198,304

      100.00%

      94.90%

      TOTAL FUND BALANCE ALLOCATION

      -

      -

      $101,746

      11.68%

      $198,304

      21.67%

      94.90%

      TOTAL FUND: 104 - CRA

      $572,420

      $812,181

      $871,083

      100.00%

      $915,048

      100.00%

      5.05%


      89


      Titusville City Seal

      CITY OF TITUSVILLE

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      FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



      FUND: 109 - FORFEITURE CONTRABAND

      REVISED

      % OF

      FY2019

      % OF

      % CHANGE

      ACTUAL

      ACTUAL

      BUDGET

      REVISED

      ADOPTED

      PROPOSED

      FY2018 TO

      FY2016

      FY2017

      FY2018

      BUDGET

      BUDGET

      BUDGET

      FY2019


      FINES AND FORFEITURES

      351.10-00 FEDERAL ASSET SHARING

      73,246

      73,576

      -

      -

      -

      -

      -

      359.10-00 STATE

      23,991

      23,273

      -

      -

      -

      -

      -

      TOTAL FINES AND FORFEITURES

      $97,237

      $96,849

      -

      -

      -

      -

      -


      PRIOR YEAR APPROPRIATIONS

      389.11-04 PRIOR YEAR APPROPRIATION - RESTRICTED

      -

      -

      207,734

      100.00%

      110,000

      100.00%

      (47.05%)

      TOTAL PRIOR YEAR APPROPRIATIONS

      -

      -

      $207,734

      100.00%

      $110,000

      100.00%

      (47.05%)


      MISCELLANEOUS REVENUES

      364.10-00 DISPOSITION FIXED ASSETS

      1,209

      956

      -

      -

      -

      -

      -

      TOTAL MISCELLANEOUS REVENUES

      $1,209

      $956

      -

      -

      -

      -

      -

      TOTAL FUND: 109 - FORFEITURE CONTRABAND

      $98,446

      $97,805

      $207,734

      0.14%

      $110,000

      0.09%

      (47.05%)


      90


      Titusville City Seal

      CITY OF TITUSVILLE

      image

      FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


      FUND: 109 - FORFEITURE CONTRABAND

      REVISED

      % OF

      FY2019

      % OF

      % CHANGE

      ACTUAL

      ACTUAL

      BUDGET

      REVISED

      ADOPTED

      PROPOSED

      FY2018 TO

      FY2016

      FY2017

      FY2018

      BUDGET

      BUDGET

      BUDGET

      FY2019


      OPERATING EXPENDITURES/EXPENSES

      35-01 INVESTIGATIONS

      -

      -

      15,000

      29.41%

      15,000

      100.00%

      -

      46-01 REPAIR & MAINT SERVICES

      9,058

      5,634

      20,000

      39.22%

      -

      -

      (100.00%)

      52-01 OPERATING SUPPLIES

      3,955

      47,968

      4,000

      7.84%

      -

      -

      (100.00%)

      55-01 TRAINING

      -

      -

      12,000

      23.53%

      -

      -

      (100.00%)

      58-59 MISC OPERATING

      106,387

      -

      -

      -

      -

      -

      -

      99-99 OTHER USES

      (1,171)

      24

      -

      -

      -

      -

      -

      TOTAL OPERATING EXPENDITURES/EXPENSES

      $118,230

      $53,626

      $51,000

      24.55%

      $15,000

      13.64%

      (70.59%)


      CAPITAL

      64-10 MACHINERY & EQUIPMENT

      -

      -

      25,510

      36.21%

      -

      -

      (100.00%)

      64-20 MACHINERY & EQUIPMENT

      -

      -

      44,948

      63.79%

      -

      -

      (100.00%)

      TOTAL CAPITAL

      -

      -

      $70,458

      33.92%

      -

      -

      (100.00%)


      FUND BALANCE ALLOCATION

      11-01 CY FUND BALANCE

      -

      -

      86,276

      100.00%

      95,000

      100.00%

      10.11%

      TOTAL FUND BALANCE ALLOCATION

      -

      -

      $86,276

      41.53%

      $95,000

      86.36%

      10.11%

      TOTAL FUND: 109 - FORFEITURE CONTRABAND

      $118,230

      $53,626

      $207,734

      0.14%

      $110,000

      0.09%

      (47.05%)


      91


      Titusville City Seal

      CITY OF TITUSVILLE

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      FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



      FUND: 111 - IMPACT FEES

      REVISED

      % OF

      FY2019

      % OF

      % CHANGE

      ACTUAL

      ACTUAL

      BUDGET

      REVISED

      ADOPTED

      PROPOSED

      FY2018 TO

      FY2016

      FY2017

      FY2018

      BUDGET

      BUDGET

      BUDGET

      FY2019


      INVESTMENT EARNINGS

      361.15-10 INTEREST ON INVESTMENTS - CUSTODIAL INTEREST - PE

      2,447

      2,441

      -

      -

      -

      -

      -

      361.30-00 NET INC/DEC MARKET VALUE

      (215)

      (2,255)

      -

      -

      -

      -

      -

      TOTAL INVESTMENT EARNINGS

      $2,232

      $186

      -

      -

      -

      -

      -


      PRIOR YEAR APPROPRIATIONS

      389.11-04 PRIOR YEAR APPROPRIATION - RESTRICTED

      -

      -

      364,755

      100.00%

      385,000

      100.00%

      5.55%

      TOTAL PRIOR YEAR APPROPRIATIONS

      -

      -

      $364,755

      94.80%

      $385,000

      95.06%

      5.55%


      MISCELLANEOUS REVENUES

      363.22-01 PUBLIC SAFETY - FIRE

      50,611

      109,293

      20,000

      100.00%

      20,000

      100.00%

      -

      363.22-02 PUBLIC SAFETY - POLICE

      9,493

      23,688

      -

      -

      -

      -

      -

      363.23-01 PHYSICAL ENVIRONMENT - PUBLIC WORKS

      17,385

      37,870

      -

      -

      -

      -

      -

      363.29-01 OTHER IMPACT FEES - CITY HALL

      3,346

      2,816

      -

      -

      -

      -

      -

      TOTAL MISCELLANEOUS REVENUES

      $80,835

      $173,668

      $20,000

      5.20%

      $20,000

      4.94%

      -

      TOTAL FUND: 111 - IMPACT FEES

      $83,067

      $173,853

      $384,755

      0.26%

      $405,000

      0.34%

      5.26%


      92


      Titusville City Seal

      CITY OF TITUSVILLE

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      FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


      FUND: 111 - IMPACT FEES


      ACTUAL FY2016


      ACTUAL FY2017

      REVISED BUDGET FY2018

      % OF REVISED BUDGET

      FY2019 ADOPTED BUDGET

      % OF PROPOSED BUDGET

      % CHANGE FY2018 TO FY2019


      OPERATING TRANSFERS OUT

      13-01 INTERFUND TRANSFER

      TOTAL OPERATING TRANSFERS OUT

      -

      -

      42,094

      $42,094

      -

      -

      -

      -

      -

      -

      -

      -

      -

      -


      FUND BALANCE ALLOCATION

      11-01 CY FUND BALANCE

      TOTAL FUND BALANCE ALLOCATION


      TOTAL FUND: 111 - IMPACT FEES

      -

      -


      -

      -

      -


      $42,094

      384,755

      $384,755


      $384,755

      100.00%

      100.00%


      0.25%

      405,000

      $405,000


      $405,000

      100.00%

      100.00%


      0.34%

      5.26%

      5.26%


      5.26%


      93


      Titusville City Seal

      CITY OF TITUSVILLE

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      image

      FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



      FUND: 115 - SPLASH PARK


      ACTUAL FY2016


      ACTUAL FY2017

      REVISED BUDGET FY2018

      % OF REVISED BUDGET

      FY2019 ADOPTED BUDGET

      % OF PROPOSED BUDGET

      % CHANGE FY2018 TO FY2019


      MISCELLANEOUS REVENUES

      366.10-10 DONATIONS - PRIVATE SOURCES

      TOTAL MISCELLANEOUS REVENUES

      TOTAL FUND: 115 - SPLASH PARK

      172,494

      $172,494

      $172,494

      38,259

      $38,259

      $38,259

      -

      -

      -

      -

      -

      -

      -

      -

      -

      -

      -

      -

      -

      -

      -


      94


      Titusville City Seal

      CITY OF TITUSVILLE

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      FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


      FUND: 115 - SPLASH PARK


      ACTUAL FY2016


      ACTUAL FY2017

      REVISED BUDGET FY2018

      % OF REVISED BUDGET

      FY2019 ADOPTED BUDGET

      % OF PROPOSED BUDGET

      % CHANGE FY2018 TO FY2019


      OPERATING TRANSFERS OUT

      13-01 INTERFUND TRANSFER

      TOTAL OPERATING TRANSFERS OUT


      TOTAL FUND: 115 - SPLASH PARK

      -

      -


      -

      210,753

      $210,753


      $210,753

      -

      -


      -

      -

      -


      -

      -

      -


      -

      -

      -


      -

      -

      -


      -


      95


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      97


      image

      CITY OF TITUSVILLE

      FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE


      FUND: 203 - CAP IMP REV SERIES 2017



      ACTUAL FY2016


      ACTUAL FY2017

      REVISED BUDGET FY2018

      % OF REVISED BUDGET

      FY2019 ADOPTED BUDGET

      % OF PROPOSED BUDGET

      % CHANGE FY2018 TO FY2019


      CHARGES FOR SERVICES


      345.90-01 OTH ECONOMIC ENVIORMENT - E.D.R.


      - -


      133,685


      100.00%


      732,272


      100.00%


      447.76%

      TOTAL CHARGES FOR SERVICES

      - -

      $133,685

      100.00%

      $732,272

      100.00%

      447.76%

      INTERFUND TRANSFERS IN


      384.99-99 DEBT PROCEEDS - MISCELLANEOUS - 6,535,000 - - - - -


      TOTAL INTERFUND TRANSFERS IN

      - $6,535,000

      -

      -

      -

      -

      -

      TOTAL FUND: 203 - CAP IMP REV SERIES 2017

      - $6,535,000

      $133,685

      0.09%

      $732,272

      0.62%

      447.76%


      98


      image

      CITY OF TITUSVILLE

      FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


      FUND: 203 - CAP IMP REV SERIES 2017

      image



      ACTUAL FY2016


      ACTUAL FY2017

      REVISED BUDGET FY2018

      % OF REVISED BUDGET

      FY2019 ADOPTED BUDGET

      % OF % CHANGE PROPOSED FY2018 TO

      BUDGET FY2019


      OPERATING EXPENDITURES/EXPENSES

      99-99 OTHER USES

      - 1

      - - - - -

      TOTAL OPERATING EXPENDITURES/EXPENSES

      - $1

      - - - - -


      DEBT SERVICE

      71-37 PRINCIPAL

      - -

      -

      -

      590,000

      80.57%

      100.00%

      72-01 INTEREST

      - -

      133,685

      100.00%

      142,272

      19.43%

      6.42%

      73-01 OTHER DEBT SERVICE COSTS

      - 30,037

      -

      -

      -

      -

      -

      TOTAL DEBT SERVICE

      - $30,037

      $133,685

      100.00%

      $732,272

      100.00%

      447.76%

      GRANTS & AID


    2. AIDS TO PRIVATE ORGS - 6,500,000 - - - - -


TOTAL GRANTS & AID

- $6,500,000

-

-

-

-

-

TOTAL FUND: 203 - CAP IMP REV SERIES 2017

- $6,530,038

$133,685

0.09%

$732,272

0.61%

447.76%


99


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CITY OF TITUSVILLE

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FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 205 - G.O. BONDS SERIES 2015

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PROPERTY TAXES

311.15-50 AD VALOREM TAXES - RIVERFRONT DEBT SERVICE

712,303

718,508

696,337

100.00%

696,337

100.00%

-

TOTAL PROPERTY TAXES

$712,303

$718,508

$696,337

82.05%

$696,337

80.84%

-


INVESTMENT EARNINGS

361.15-10 INTEREST ON INVESTMENTS - CUSTODIAL INTEREST - PE

4,485

5,770

-

-

-

-

-

361.30-00 NET INC/DEC MARKET VALUE

(417)

(662)

-

-

-

-

-

TOTAL INVESTMENT EARNINGS

$4,068

$5,108

-

-

-

-

-


PRIOR YEAR APPROPRIATIONS

389.11-04 PRIOR YEAR APPROPRIATION - RESTRICTED

-

-

152,291

100.00%

165,000

100.00%

8.35%

TOTAL PRIOR YEAR APPROPRIATIONS

-

-

$152,291

17.95%

$165,000

19.16%

8.35%

TOTAL FUND: 205 - G.O. BONDS SERIES 2015

$716,371

$723,616

$848,628

0.57%

$861,337

0.72%

1.50%


100


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CITY OF TITUSVILLE

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FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 205 - G.O. BONDS SERIES 2015

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


DEBT SERVICE

71-01 PRINCIPAL

602,000

581,000

591,000

86.57%

600,000

88.12%

1.52%

72-01 INTEREST

94,337

102,248

91,674

13.43%

80,918

11.88%

(11.73%)

73-01 OTHER DEBT SERVICE COSTS

(1,874)

-

-

-

-

-

-

TOTAL DEBT SERVICE

$694,463

$683,248

$682,674

80.44%

$680,918

79.05%

(0.26%)


FUND BALANCE ALLOCATION

11-01 CY FUND BALANCE

-

-

165,954

100.00%

180,419

100.00%

8.72%

TOTAL FUND BALANCE ALLOCATION

-

-

$165,954

19.56%

$180,419

20.95%

8.72%

TOTAL FUND: 205 - G.O. BONDS SERIES 2015

$694,463

$683,248

$848,628

0.55%

$861,337

0.71%

1.50%


101


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CITY OF TITUSVILLE

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FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 207 - CRA - PIRN SERIES 2009

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


INTERFUND TRANSFERS IN

381.11-04 TRANSFER FROM - CRA

123,350

124,225

124,081

100.00%

123,165

100.00%

(0.74%)

TOTAL INTERFUND TRANSFERS IN

$123,350

$124,225

$124,081

100.00%

$123,165

100.00%

(0.74%)

TOTAL FUND: 207 - CRA - PIRN SERIES 2009

$123,350

$124,225

$124,081

0.08%

$123,165

0.10%

(0.74%)


102


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 207 - CRA - PIRN SERIES 2009

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


DEBT SERVICE

71-50 PRINCIPAL

66,000

65,000

70,000

56.41%

75,000

60.89%

7.14%

72-50 INTEREST

57,350

54,422

54,081

43.59%

48,165

39.11%

(10.94%)

73-01 OTHER DEBT SERVICE COSTS

3,000

-

-

-

-

-

-

TOTAL DEBT SERVICE

$126,350

$119,422

$124,081

100.00%

$123,165

100.00%

(0.74%)

TOTAL FUND: 207 - CRA - PIRN SERIES 2009

$126,350

$119,422

$124,081

0.08%

$123,165

0.10%

(0.74%)


103


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105


Titusville City Seal

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FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 301 - GENERAL CONSTRUCTION

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


INTERGOVERNMENTAL REVENUES

331.39-02 OTH PHYSICAL ENVIRONMENT - FEMA HAZARD MITIGATION

89,848

-

-

-

-

-

-

TOTAL INTERGOVERNMENTAL REVENUES

$89,848

-

-

-

-

-

-


PRIOR YEAR APPROPRIATIONS

389.11-02 PRIOR YEAR APPROPRIATION - ASSIGNED

-

-

2,297,362

100.00%

-

-

(100.00%)

TOTAL PRIOR YEAR APPROPRIATIONS

-

-

$2,297,362

99.91%

-

-

(100.00%)


INTERFUND TRANSFERS IN

381.10-01 TRANSFER FROM - GENERAL FUND

317,600

207,000

2,170

100.00%

-

-

(100.00%)

381.11-11 TRANSFER FROM - IMPACT FEE

-

42,094

-

-

-

-

-

381.11-15 TRANSFER FROM - SPLASH PAD

-

210,753

-

-

-

-

-

381.13-03 TRANSFER FROM - ROADS & STREETS

-

215,750

-

-

-

-

-

381.14-04 TRANSFER FROM - SOLID WASTE

-

100,000

-

-

-

-

-

381.14-06 TRANSFER FROM - STORMWATER UTILITY FUND

-

100,000

-

-

-

-

-

381.15-01 TRANSFER FROM - FLEET MAINTENANCE

-

350,000

-

-

-

-

-

TOTAL INTERFUND TRANSFERS IN

$317,600

$1,225,597

$2,170

0.09%

-

-

(100.00%)

TOTAL FUND: 301 - GENERAL CONSTRUCTION

$407,448

$1,225,597

$2,299,532

1.54%

-

-

(100.00%)


106


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CITY OF TITUSVILLE

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FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 301 - GENERAL CONSTRUCTION

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


OPERATING EXPENDITURES/EXPENSES

99-99 OTHER USES

41,021

421

-

-

-

-

-

TOTAL OPERATING EXPENDITURES/EXPENSES

$41,021

$421

-

-

-

-

-


CAPITAL

65-00 CONSTRUCTION IN PROGRESS

353,014

601,637

2,290,460

100.00%

-

-

(100.00%)

TOTAL CAPITAL

$353,014

$601,637

$2,290,460

99.61%

-

-

(100.00%)


OPERATING TRANSFERS OUT

10-01 INTERFUND TRANSFER

-

8,589

-

-

-

-

-

TOTAL OPERATING TRANSFERS OUT

-

$8,589

-

-

-

-

-


FUND BALANCE ALLOCATION

11-01 CY FUND BALANCE

-

-

9,072

100.00%

-

-

(100.00%)

TOTAL FUND BALANCE ALLOCATION

-

-

$9,072

0.39%

-

-

(100.00%)

TOTAL FUND: 301 - GENERAL CONSTRUCTION

$394,034

$610,647

$2,299,532

1.50%

-

-

(100.00%)


107


Titusville City Seal

SOURCES


CITY OF TITUSVILLE, FLORIDA

FIVE-YEAR CAPITAL IMPROVEMENT PLAN GENERAL CONSTRUCTION FUND

NEW PROJECT REVENUE SOURCES ONLY


Accounting String


Project Number


Revenue Name

New Project Allocations FY 2019


FY 2020


FY 2021


FY 2022


FY 2023


Totals

All Projects

Unfunded/Future Revenue

$ -

$

1,990,000

$

20,117,500

$

4,325,000

$

30,449,000

$

56,881,500

TOTAL SOURCES

$ -

$

1,990,000

$

20,117,500

$

4,325,000

$

30,449,000

$

56,881,500


USES


Accounting String


Project Number


Project Name

New Project Allocations FY 2019


FY 2020


FY 2021


FY 2022


FY 2023


Totals

301-5555-580.65-00

GC1504

PW Complex

$ -

$

550,000

$

500,000

$

2,200,000

$

-

$

3,250,000

301-5555-580.65-00

GC19XX

Roof Improvements

$ -

$

285,000

$

16,000

$

17,000

$

17,000

$

335,000

301-5555-580.65-00

GC19XX

Flooring Improvements

$ -

$

50,000

$

50,000

$

50,000

$

50,000

$

200,000

301-5555-580.65-00

GC19XX

TPD Interior Improvements

$ -

$

-

$

-

$

-

$

-

$

-

301-5555-580.65-00

GC19XX

Pritchard House Improvements

$ -

$

-

$

21,500

$

260,000

$

-

$

281,500

301-5555-580.65-00

GC19XX

Fire Station #14

$ -

$

-

$

-

$

-

$

1,679,000

$

1,679,000

301-5555-580.65-00

GC19XX

Public Safety Complex

$ -

$

-

$

406,000

$

1,350,000

$

23,108,000

$

24,864,000

301-5555-580.65-00

GC19XX

Downtown Parking Garage

$ -

$

-

$

224,000

$

448,000

$

5,595,000

$

6,267,000

301-5555-580.65-00

GC19XX

City Hall

$ -

$

1,105,000

$

18,900,000

$

-

$

-

$

20,005,000

TOTAL USES

$ -

$

1,990,000

$

20,117,500

$

4,325,000

$

30,449,000

$

56,881,500


108


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CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 303 - ROADS AND STREETS

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


INTERGOVERNMENTAL REVENUES

331.50-00 ECONOMIC ENVIRONMENT

2,640,234

350,228

1,380,973

63.77%

-

-

(100.00%)

334.49-06 STATE FDOT GRANT - PARK AVE

2,520

128,761

784,568

36.23%

-

-

(100.00%)

TOTAL INTERGOVERNMENTAL REVENUES

$2,642,754

$478,989

$2,165,541

52.64%

-

-

(100.00%)


CHARGES FOR SERVICES

341.10-00 RECORDING FEES

-

35

-

-

-

-

-

TOTAL CHARGES FOR SERVICES

-

$35

-

-

-

-

-


INVESTMENT EARNINGS

361.40-10 INTEREST EARNINGS ASSESS. - SHANGRI LA

-

126

-

-

-

-

-

TOTAL INVESTMENT EARNINGS

-

$126

-

-

-

-

-


PRIOR YEAR APPROPRIATIONS

389.11-02 PRIOR YEAR APPROPRIATION - ASSIGNED

-

-

1,753,594

100.00%

-

-

(100.00%)

TOTAL PRIOR YEAR APPROPRIATIONS

-

-

$1,753,594

42.62%

-

-

(100.00%)


MISCELLANEOUS REVENUES

366.10-10 DONATIONS - PRIVATE SOURCES

10,835

-

-

-

-

-

-

369.90-00 MISCELLANEOUS REVENUE

1,745

27

-

-

-

-

-

TOTAL MISCELLANEOUS REVENUES

$12,580

$27

-

-

-

-

-


INTERFUND TRANSFERS IN

381.10-01 TRANSFER FROM - GENERAL FUND

1,092,431

10,000

195,000

100.00%

710,000

100.00%

264.10%

381.13-04 TRANSFER FROM - CRA CAPITAL PROJECTS

166,000

-

-

-

-

-

-

TOTAL INTERFUND TRANSFERS IN

$1,258,431

$10,000

$195,000

4.74%

$710,000

100.00%

264.10%

TOTAL FUND: 303 - ROADS AND STREETS

$3,913,765

$489,177

$4,114,135

2.76%

$710,000

0.60%

(82.74%)


110


Titusville City Seal

CITY OF TITUSVILLE

image

image

image

image

image

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 303 - ROADS AND STREETS


ACTUAL FY2016


ACTUAL FY2017

REVISED BUDGET FY2018

% OF REVISED BUDGET

FY2019 ADOPTED BUDGET

% OF PROPOSED BUDGET

% CHANGE FY2018 TO FY2019


CAPITAL

63-10 IMPROVEMENTS TO BUILDINGS

65-00 CONSTRUCTION IN PROGRESS

65-99 CONSTRUCTION IN PROGRESS

TOTAL CAPITAL

4,065,704

- 10,154

$4,075,858

1,542,271

89,424

-

$1,631,695

3,701,123

576

-

$3,701,699

99.98%

0.02%

-

89.98%

710,000

-

-

$710,000

100.00%

-

-

100.00%

(80.82%)

(100.00%)

-

(80.82%)


OPERATING TRANSFERS OUT

10-01 INTERFUND TRANSFER

13-01 INTERFUND TRANSFER

TOTAL OPERATING TRANSFERS OUT

-

-

-

62,022

215,750

$277,772

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-


FUND BALANCE ALLOCATION

11-01 CY FUND BALANCE

TOTAL FUND BALANCE ALLOCATION


TOTAL FUND: 303 - ROADS AND STREETS

-

-


$4,075,858

-

-


$1,909,467

412,436

$412,436


$4,114,135

100.00%

10.02%


2.69%

-

-


$710,000

-

-


0.59%

(100.00%)

(100.00%)


(82.74%)


111


Titusville City Seal

SOURCES


CITY OF TITUSVILLE, FLORIDA

FIVE-YEAR CAPITAL IMPROVEMENT PLAN ROADS AND STREETS CONSTRUCTION FUND NEW PROJECT REVENUE SOURCES ONLY


Accounting String


Project Number


Revenue Name

New Project Allocations FY 2019


FY 2020


FY 2021


FY 2022


FY 2023


Totals

303-0000-381.10-01

RS1901

Transfer From General Fund

$ 710,000

$

964,000

$

993,000

$

1,023,000

$

1,054,000

$

4,744,000

Unfunded/Future Revenue

$ -

$

1,205,000

$

3,380,000

$

7,045,000

$

805,000

$

12,435,000

TOTAL SOURCES

$ 710,000

$

2,169,000

$

4,373,000

$

8,068,000

$

1,859,000

$

17,179,000


USES


Accounting String


Project Number


Project Name

New Project Allocations FY 2019


FY 2020


FY 2021


FY 2022


FY 2023


Totals

303-5555-541.63-10

RS1901

Road Resurfacing (5.5 mi.)

$ 710,000

$

964,000

$

993,000

$

1,023,000

$

1,054,000

$

4,744,000

303-5555-541.63-10

RS19XX

Sidewalk Repair

$ -

$

100,000

$

100,000

$

100,000

$

100,000

$

400,000

303-5555-541.63-10

RS19XX

Sidewalk Infill

$ -

$

100,000

$

100,000

$

100,000

$

100,000

$

400,000

303-5555-541.63-10

RS19XX

School Zone Imp

$ -

$

-

$

-

$

-

$

-

$

-

303-5555-541.63-10

RS19XX

Whiteway Lighting Imp

$ -

$

680,000

$

960,000

$

250,000

$

250,000

$

2,140,000

303-5555-541.63-10

RS19XX

Eco-Heritage Trail

$ -

$

-

$

-

$

-

$

-

$

-

303-5555-541.63-10

RS19XX

Traffic Signal Imp

$ -

$

325,000

$

335,000

$

345,000

$

355,000

$

1,360,000

303-5555-541.63-10

RS19XX

US#1 Trail

$ -

$

-

$

625,000

$

6,250,000

$

-

$

6,875,000

303-5555-541.63-10

RS20XX

US1 Gateway

$ -

$

-

$

1,260,000

$

-

$

-

$

1,260,000

TOTAL USES

$ 710,000

$

2,169,000

$

4,373,000

$

8,068,000

$

1,859,000

$

17,179,000



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FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 304 - CRA CAPITAL PROJECTS

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


INVESTMENT EARNINGS

361.15-10 INTEREST ON INVESTMENTS - CUSTODIAL INTEREST - PE

7,229

3,096

-

-

-

-

-

TOTAL INVESTMENT EARNINGS

$7,229

$3,096

-

-

-

-

-


PRIOR YEAR APPROPRIATIONS

389.11-04 PRIOR YEAR APPROPRIATION - RESTRICTED

-

-

502,260

100.00%

-

-

(100.00%)

TOTAL PRIOR YEAR APPROPRIATIONS

-

-

$502,260

57.62%

-

-

(100.00%)


INTERFUND TRANSFERS IN

381.11-04 TRANSFER FROM - CRA

280,000

500,633

369,401

100.00%

359,200

100.00%

(2.76%)

TOTAL INTERFUND TRANSFERS IN

$280,000

$500,633

$369,401

42.38%

$359,200

100.00%

(2.76%)

TOTAL FUND: 304 - CRA CAPITAL PROJECTS

$287,229

$503,729

$871,661

0.58%

$359,200

0.30%

(58.79%)


114


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FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 304 - CRA CAPITAL PROJECTS

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


CAPITAL

65-00 CONSTRUCTION IN PROGRESS

343,471

275,488

826,060

100.00%

359,200

100.00%

(56.52%)

65-99 CONSTRUCTION IN PROGRESS

60,813

-

-

-

-

-

-

TOTAL CAPITAL

$404,284

$275,488

$826,060

94.77%

$359,200

100.00%

(56.52%)


OPERATING TRANSFERS OUT

11-01 INTERFUND TRANSFER

-

10,896

-

-

-

-

-

13-01 INTERFUND TRANSFER

166,000

-

-

-

-

-

-

TOTAL OPERATING TRANSFERS OUT

$166,000

$10,896

-

-

-

-

-


FUND BALANCE ALLOCATION

10-01 WORKING CAPITAL - CURRENT YEAR UNRESERVED

56

-

-

-

-

-

-

11-01 CY FUND BALANCE

-

-

45,601

100.00%

-

-

(100.00%)

TOTAL FUND BALANCE ALLOCATION

$56

-

$45,601

5.23%

-

-

(100.00%)

TOTAL FUND: 304 - CRA CAPITAL PROJECTS

$570,340

$286,384

$871,661

0.57%

$359,200

0.30%

(58.79%)


115


Titusville City Seal

SOURCES


CITY OF TITUSVILLE, FLORIDA

FIVE-YEAR CAPITAL IMPROVEMENT PLAN CRA CONSTRUCTION FUND

NEW PROJECT REVENUE SOURCES ONLY


Accounting String


Project Number


Revenue Name

New Project Allocations FY 2019


FY 2020


FY 2021


FY 2022


FY 2023


Totals

304-0000-381.11-04

All Projects

Transfer From CRA Admin

$ 359,200

$

210,000

$

210,000

$

210,000

$

159,000

$

1,148,200

TOTAL SOURCES

$ 359,200

$

210,000

$

210,000

$

210,000

$

159,000

$

1,148,200


USES


Accounting String


Project Number


Project Name

New Project Allocations FY 2019


FY 2020


FY 2021


FY 2022


FY 2023


Totals

304-5555-580.65-00

CR1604

Trail Town Amenities

$ 18,200

$

20,000

$

20,000

$

20,000

$

20,000

$

98,200

304-5555-580.65-00

CR1703

CRA Building Grants

$ 100,000

$

100,000

$

100,000

$

100,000

$

100,000

$

500,000

304-5555-580.65-00

CR1704

Concrete Street Repairs

$ 50,000

$

50,000

$

50,000

$

50,000

$

-

$

200,000

304-5555-580.65-00

CR1901

CRA Sidewalk Infill

$ 41,000

$

40,000

$

40,000

$

40,000

$

39,000

$

200,000

304-5555-580.65-00

CR1902

Palm Avenue Resurfacing

$ 150,000

$

-

$

-

$

-

$

-

$

150,000

TOTAL USES

$ 359,200

$

210,000

$

210,000

$

210,000

$

159,000

$

1,148,200


116


Titusville City Seal

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117


Titusville City Seal

CITY OF TITUSVILLE

image

image

FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 305 - RIVERFRONT ACQUISITION


ACTUAL FY2016


ACTUAL FY2017

REVISED BUDGET FY2018

% OF REVISED BUDGET

FY2019 ADOPTED BUDGET

% OF PROPOSED BUDGET

% CHANGE FY2018 TO FY2019


PRIOR YEAR APPROPRIATIONS

389.11-04 PRIOR YEAR APPROPRIATION - RESTRICTED

TOTAL PRIOR YEAR APPROPRIATIONS

TOTAL FUND: 305 - RIVERFRONT ACQUISITION

-

-

-

-

-

-

5,280

$5,280

$5,280

100.00%

100.00%

0.00%

-

-

-

-

-

-

(100.00%)

(100.00%)

(100.00%)


118


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 305 - RIVERFRONT ACQUISITION

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


OPERATING EXPENDITURES/EXPENSES

49-01 OTHER CHARGES/OBLIGATIONS

-

163

-

-

-

-

-

TOTAL OPERATING EXPENDITURES/EXPENSES

-

$163

-

-

-

-

-


CAPITAL

65-00 CONSTRUCTION IN PROGRESS

9,692

4,540

5,442

100.00%

-

-

(100.00%)

TOTAL CAPITAL

$9,692

$4,540

$5,442

103.07%

-

-

(100.00%)


FUND BALANCE ALLOCATION

11-01 CY FUND BALANCE

-

-

(162)

100.00%

-

-

(100.00%)

TOTAL FUND BALANCE ALLOCATION

-

-

($162)

(3.07%)

-

-

(100.00%)

TOTAL FUND: 305 - RIVERFRONT ACQUISITION

$9,692

$4,703

$5,280

0.00%

-

-

(100.00%)


119


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 402 - WS CONSTRUCTION

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


INTERGOVERNMENTAL REVENUES

334.50-10 STATE - ECONOMIC ENVIROMENT

-

-

1,060,500

11.70%

-

-

(100.00%)

337.52-00 OSPREY/NUTRIENT/REMOVAL

-

-

8,000,000

88.30%

-

-

(100.00%)

TOTAL INTERGOVERNMENTAL REVENUES

-

-

$9,060,500

28.47%

-

-

(100.00%)


INVESTMENT EARNINGS

361.15-10 INTEREST ON INVESTMENTS - CUSTODIAL INTEREST - PE

208,446

165,423

-

-

-

-

-

TOTAL INVESTMENT EARNINGS

$208,446

$165,423

-

-

-

-

-


PRIOR YEAR APPROPRIATIONS

389.50-23 PRIOR YEAR APPROP - RESERVED CAPITAL PROJECT

-

-

17,852,850

100.00%

13,623,000

100.00%

(23.69%)

TOTAL PRIOR YEAR APPROPRIATIONS

-

-

$17,852,850

56.10% $13,623,000

100.00%

(23.69%)


INTERFUND TRANSFERS IN

381.14-01 TRANSFER FROM - WATER & SEWER FUND

2,984,000

13,480,848

4,908,031

100.00%

-

-

(100.00%)

TOTAL INTERFUND TRANSFERS IN

$2,984,000

$13,480,848

$4,908,031

15.42%

-

-

(100.00%)

TOTAL FUND: 402 - WS CONSTRUCTION

$3,192,446

$13,646,271

$31,821,381

21.33% $13,623,000

11.45%

(57.19%)


120


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 402 - WS CONSTRUCTION

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 PERSONNEL SERVICES

29

-

-

-

-

-

-

21-01 FICA TAXES

10

-

-

-

-

-

-

TOTAL PERSONNEL SERVICES

$39

-

-

-

-

-

-


OPERATING EXPENDITURES/EXPENSES

41-01 COMMUNICATIONS SERVICES

99

-

-

-

-

-

-

99-99 OTHER USES

(22,750)

1,631

-

-

-

-

-

TOTAL OPERATING EXPENDITURES/EXPENSES

($22,651)

$1,631

-

-

-

-

-


CAPITAL

65-00 CONSTRUCTION IN PROGRESS

2,970,079

1,874,936

24,328,483

100.00%

7,391,234

100.00%

(69.62%)

99-10 OTHER USES

(2,970,079)

(1,874,936)

-

-

-

-

-

99-20 OTHER USES

5,199,928

2,966,842

-

-

-

-

-

TOTAL CAPITAL

$5,199,928

$2,966,842

$24,328,483

76.45%

$7,391,234

54.26%

(69.62%)


OPERATING TRANSFERS OUT

14-01 INTERFUND TRANSFER

11,791

235,907

-

-

-

-

-

TOTAL OPERATING TRANSFERS OUT

$11,791

$235,907

-

-

-

-

-


FUND BALANCE ALLOCATION

10-15 CONTINGENCY UNRESERVED

-

-

7,492,898

100.00%

6,231,766

100.00%

(16.83%)

TOTAL FUND BALANCE ALLOCATION

-

-

$7,492,898

23.55%

$6,231,766

45.74%

(16.83%)

TOTAL FUND: 402 - WS CONSTRUCTION

$5,189,106

$3,204,379

$31,821,381

20.80%

$13,623,000

11.30%

(57.19%)


121


Titusville City Seal

SOURCES


CITY OF TITUSVILLE, FLORIDA

FIVE-YEAR CAPITAL IMPROVEMENT PLAN WATER AND SEWER UTILITIES CONSTRUCTION FUND

NEW PROJECT REVENUE SOURCES ONLY


Accounting String


Project Number


Revenue Name

New Project Allocations FY 2019


FY 2020


FY 2021


FY 2022


FY 2023


Totals

402-5555-589.10-15

All Projects

Working Capital

$ 7,391,234

$

2,609,452

$

2,219,437

$

1,931,126

$

1,646,126

$

15,797,375

TOTAL SOURCES

$ 7,391,234

$

2,609,452

$

2,219,437

$

1,931,126

$

1,646,126

$

15,797,375


USES


Accounting String


Project Number


Project Name

New Project Allocations FY 2019


FY 2020


FY 2021


FY 2022


FY 2023


Totals

402-5555-580.65-00

WC9806

Meter Replacements

$ 380,976

$

382,122

$

358,447

$

399,126

$

399,126

$

1,919,797

402-5555-580.65-00

WC9910

Water Production SCADA

$ 25,000

$

10,000

$

10,000

$

10,000

$

10,000

$

65,000

402-5555-580.65-00

WC0414

Lift Station Developer Paid

$ 37,500

$

15,000

$

15,000

$

15,000

$

15,000

$

97,500

402-5555-580.65-00

WC0610

Pumps and Motors Upgrade

$ 67,000

$

-

$

-

$

-

$

-

$

67,000

402-5555-580.65-00

WC0701

Sewer System Improvements

$ 400,000

$

400,000

$

400,000

$

400,000

$

400,000

$

2,000,000

402-5555-580.65-00

WC0702

Water System Improvements

$ 500,000

$

500,000

$

500,000

$

500,000

$

500,000

$

2,500,000

402-5555-580.65-00

WR0803

Unscheduled W&S Projects

$ 100,000

$

-

$

-

$

-

$

-

$

100,000

402-5555-580.65-00

WR0903

Water Distr Sys Improvements

$ 925,000

$

850,000

$

545,000

$

285,000

$

-

$

2,605,000

402-5555-580.65-00

WR1001

Cross Connection Control

$ 261,000

$

252,330

$

240,990

$

172,000

$

172,000

$

1,098,320

402-5555-580.65-00

WR1106

Utility Master Planning

$ 75,000

$

50,000

$

50,000

$

50,000

$

50,000

$

275,000

402-5555-580.65-00

WR1401

Telemetry Upgrades

$ 130,000

$

50,000

$

50,000

$

50,000

$

50,000

$

330,000

402-5555-580.65-00

WR1604

Equipment Replacement Prog

$ 50,000

$

50,000

$

50,000

$

50,000

$

50,000

$

250,000

402-5555-580.65-00

WR1701

Lime Solids Handling

$ 1,500,000

$

-

$

-

$

-

$

-

$

1,500,000

402-5555-580.65-00

WR1803

Marina L.S. Upgrade

$ 230,000

$

-

$

-

$

-

$

-

$

230,000

402-5555-580.65-00

WR1901

Cyber Security WRCN

$ 281,416

$

50,000

$

-

$

-

$

-

$

331,416

402-5555-580.65-00

WR1902

Causeway L.S. Upgrade

$ 245,000

$

-

$

-

$

-

$

-

$

245,000

402-5555-580.65-00

WR1903

Osprey Influent Screen

$ 300,000

$

-

$

-

$

-

$

-

$

300,000

402-5555-580.65-00

WR1904

Hurricane Irma L.S. Repairs

$ 1,089,201

$

-

$

-

$

-

$

-

$

1,089,201

402-5555-580.65-00

WR1905

L.S. Generator Installs

$ 544,141

$

-

$

-

$

-

$

-

$

544,141

402-5555-580.65-00

WR1906

SR 405 FDOT Relocations

$ 250,000

$

-

$

-

$

-

$

-

$

250,000

TOTAL USES

$ 7,391,234

$

2,609,452

$

2,219,437

$

1,931,126

$

1,646,126

$

15,797,375


122


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123


Titusville City Seal

CITY OF TITUSVILLE

FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE


FUND: 408 - STORMWATER CAPITAL

image

REVISED % OF FY2019 % OF % CHANGE ACTUAL ACTUAL BUDGET REVISED ADOPTED PROPOSED FY2018 TO FY2016 FY2017 FY2018 BUDGET BUDGET BUDGET FY2019

image


INTERGOVERNMENTAL REVENUES


337.30-01 PHYSICAL ENVIRONMENT - SJWMD GRANT 1,588,855 159,717 1,554,915 100.00% - - (100.00%)

image

TOTAL INTERGOVERNMENTAL REVENUES $1,588,855 $159,717 $1,554,915 41.39% - - (100.00%)

image


INVESTMENT EARNINGS


361.15-10 INTEREST ON INVESTMENTS - CUSTODIAL INTEREST - PE

28,758

13,714 -

- - - ­

TOTAL INVESTMENT EARNINGS

$28,758

$13,714 -

- - - ­


PRIOR YEAR APPROPRIATIONS


389.52-00 PRIOR YR APPROP RESTRICT


- - 1,361,254


100.00%


300,000


100.00%


(77.96%)

TOTAL PRIOR YEAR APPROPRIATIONS

- - $1,361,254

36.24%

$300,000

18.65%

(77.96%)


INTERFUND TRANSFERS IN


381.14-06 TRANSFER FROM - STORMWATER UTILITY FUND


805,141 803,049 840,532


100.00%


1,308,808


100.00%


55.71%

TOTAL INTERFUND TRANSFERS IN

$805,141 $803,049 $840,532

22.37%

$1,308,808

81.35%

55.71%

TOTAL FUND: 408 - STORMWATER CAPITAL

$2,422,754 $976,480 $3,756,701

100.00%

$1,608,808

100.00%

(57.17%)


124


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 408 - STORMWATER CAPITAL

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


OPERATING EXPENDITURES/EXPENSES

99-99 OTHER USES

1,900

-

-

-

-

-

-

TOTAL OPERATING EXPENDITURES/EXPENSES

$1,900

-

-

-

-

-

-


CAPITAL

65-00 CONSTRUCTION IN PROGRESS

2,320,145

1,687,901

3,446,169

100.00%

1,425,000

100.00%

(58.65%)

99-10 OTHER USES

(2,320,145)

(1,631,453)

-

-

-

-

-

99-20 OTHER USES

552,810

2,691,507

-

-

-

-

-

TOTAL CAPITAL

$552,810

$2,747,955

$3,446,169

91.73%

$1,425,000

88.57%

(58.65%)


OPERATING TRANSFERS OUT

14-01 INTERFUND TRANSFER

50,000

226,582

-

-

-

-

-

TOTAL OPERATING TRANSFERS OUT

$50,000

$226,582

-

-

-

-

-


FUND BALANCE ALLOCATION

10-01 WORKING CAPITAL - CURRENT YEAR UNRESERVED

-

-

310,532

100.00%

183,808

100.00%

(40.81%)

TOTAL FUND BALANCE ALLOCATION

-

-

$310,532

8.27%

$183,808

11.43%

(40.81%)

TOTAL FUND: 408 - STORMWATER CAPITAL

$604,710

$2,974,537

$3,756,701

2.46%

$1,608,808

1.33%

(57.17%)


125


Titusville City Seal

SOURCES


CITY OF TITUSVILLE, FLORIDA

FIVE-YEAR CAPITAL IMPROVEMENT PLAN STORMWATER UTILITIES CONSTRUCTION FUND NEW PROJECT REVENUE SOURCES ONLY


Accounting String


Project Number


Revenue Name

New Project Allocations FY 2019


FY 2020


FY 2021


FY 2022


FY 2023


Totals


408-0000-381.14-06

Balance SU1707 All Other Projects


Transfer From Stormwater Fund


$ 1,308,808


$


-


$


-


$


-


$


-


$


1,308,808

408-5555-589.10-01

SU1707

Working Capital

$ 116,192

$

400,000

$

400,000

$

400,000

$

400,000

$

1,716,192

TOTAL SOURCES

$ 1,425,000

$

400,000

$

400,000

$

400,000

$

400,000

$

3,025,000


USES


Accounting String


Project Number


Project Name

New Project Allocations FY 2019


FY 2020


FY 2021


FY 2022


FY 2023


Totals

408-5555-580.65-00

SU1704

South St Baffle Box

$ 600,000

$

-

$

-

$

-

$

-

$

600,000

408-5555-580.65-00

SU1706

St Teresa Baffle

$ 125,000

$

-

$

-

$

-

$

-

$

125,000

408-5555-580.65-00

SU1707

La Paloma Baffle

$ 50,000

$

-

$

-

$

-

$

-

$

50,000

408-5555-580.65-00

SU1901

Cure In Place Pipe Liner

$ 50,000

$

-

$

-

$

-

$

-

$

50,000

408-5555-580.65-00

SU1902

CIPP - LaPaloma

$ 300,000

$

-

$

-

$

-

$

-

$

300,000

408-5555-580.65-00

SU1903

Drainage Improvements

$ 200,000

$

-

$

-

$

-

$

-

$

200,000

408-5555-580.65-00

SU1904

Water Quality Improvements

$ 100,000

$

-

$

-

$

-

$

-

$

100,000

408-5555-580.65-00

SU20XX

Cure In Place Pipe Liner

$ -

$

100,000

$

-

$

-

$

-

$

100,000

408-5555-580.65-00

SU20XX

Drainage Improvements

$ -

$

200,000

$

-

$

-

$

-

$

200,000

408-5555-580.65-00

SU20XX

Water Quality Improvements

$ -

$

100,000

$

-

$

-

$

-

$

100,000

408-5555-580.65-00

SU21XX

Cure In Place Pipe Liner

$ -

$

-

$

100,000

$

-

$

-

$

100,000

408-5555-580.65-00

SU21XX

Drainage Improvements

$ -

$

-

$

200,000

$

-

$

-

$

200,000

408-5555-580.65-00

SU21XX

Water Quality Improvements

$ -

$

-

$

100,000

$

-

$

-

$

100,000

408-5555-580.65-00

SU22XX

Cure In Place Pipe Liner

$ -

$

-

$

-

$

100,000

$

-

$

100,000

408-5555-580.65-00

SU22XX

Drainage Improvements

$ -

$

-

$

-

$

200,000

$

-

$

200,000

408-5555-580.65-00

SU22XX

Water Quality Improvements

$ -

$

-

$

-

$

100,000

$

-

$

100,000

408-5555-580.65-00

SU23XX

Cure In Place Pipe Liner

$ -

$

-

$

-

$

-

$

100,000

$

100,000

408-5555-580.65-00

SU23XX

Drainage Improvements

$ -

$

-

$

-

$

-

$

200,000

$

200,000

408-5555-580.65-00

SU23XX

Water Quality Improvements

$ -

$

-

$

-

$

-

$

100,000

$

100,000

TOTAL USES

$ 1,425,000

$

400,000

$

400,000

$

400,000

$

400,000

$

3,025,000


126


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 401 - WATER AND SEWER SYSTEM

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERMITS FEES & SPEC ASSMT

321.10-06 OCCUPATIONAL LICENSES - LIFT STATION INSPECTION

7,700

7,802

6,900

100.00%

7,300

100.00%

5.80%

TOTAL PERMITS FEES & SPEC ASSMT

$7,700

$7,802

$6,900

0.02%

$7,300

0.03%

5.80%


INTERGOVERNMENTAL REVENUES

331.50-01 ECONOMIC ENVIRONMENT - FEMA-HURRICANE MATTHEW

-

46,308

-

-

-

-

-

331.50-02 ECONOMIC ENVIRONMENT - FEMA-HURRICANE IRMA

-

54,925

-

-

-

-

-

334.31-03 WATER SUPPLY SYSTEM - DRINKING WATER REV. LOAN

318,718

-

-

-

-

-

-

335.40-01 TRANSPORTATION - MOTOR VEH TAX GENERAL

1,355

11,518

5,500

100.00%

5,800

100.00%

5.45%

TOTAL INTERGOVERNMENTAL REVENUES

$320,073

$112,751

$5,500

0.02%

$5,800

0.02%

5.45%


CHARGES FOR SERVICES

341.10-00 RECORDING FEES

17,774

31,954

18,600

0.08%

19,900

0.09%

6.99%

341.90-03 CHARGES FOR SERVICES - ENGINEERING SERVICES

12,618

25,868

22,300

0.10%

19,200

0.08%

(13.90%)

341.90-99 CHARGES FOR SERVICES - MISCELLANEOUS

89,871

-

-

-

-

-

-

343.30-00 WATER UTILITY REVENUE

4,410,163

4,578,054

4,644,091

20.84%

4,626,170

19.93%

(0.39%)

343.30-10 WATER UTILITY REVENUE - IRRIGATION WATER USAGE

279,594

400,510

315,554

1.42%

359,129

1.55%

13.81%

343.30-15 WATER UTILITY REVENUE - IRRIGATION FIXED MONTHLY

90,307

91,595

92,033

0.41%

98,751

0.43%

7.30%

343.30-20 WATER UTILITY REVENUE - REUSE STAND BY CHARGE

199,220

208,080

196,800

0.88%

202,300

0.87%

2.79%

343.30-23 WATER UTILITY REVENUE - STANDBY - FIRE PROTECTION

20,915

19,030

21,000

0.09%

21,100

0.09%

0.48%

343.30-25 WATER UTILITY REVENUE - WATER FIXED MONTHLY

3,103,004

3,257,148

3,243,592

14.55%

3,481,079

15.00%

7.32%

343.30-27 WATER UTILITY REVENUE - CROSS CONNECTION CONTROL

71,897

75,042

71,800

0.32%

73,700

0.32%

2.65%

343.30-30 WATER UTILITY REVENUE - FIRE HYDRANT FEES

20,269

20,382

20,300

0.09%

20,300

0.09%

-

343.30-34 WATER UTILITY REVENUE - CUT ON/CUT OFF CHARGES

97,648

73,375

90,300

0.41%

73,000

0.31%

(19.16%)

343.30-35 WATER UTILITY REVENUE - REUSE CONNECTION FEE

8,121

14,932

10,800

0.05%

7,300

0.03%

(32.41%)

343.30-50 WATER UTILITY REVENUE - TAP ON FEE WATER

258,218

276,532

180,000

0.81%

277,500

1.20%

54.17%

343.30-52 WATER UTILITY REVENUE - TAP ON WATER FEE-OUTSIDE

-

500

-

-

-

-

-

343.30-60 WATER UTILITY REVENUE - SUPPLY ALLOCATION PERMIT

26,526

7,594

7,900

0.04%

8,300

0.04%

5.06%

343.30-70 WATER UTILITY REVENUE - TELEMETRY INSTALLATION

-

7,000

-

-

-

-

-

343.50-00 SEWER/WASTEWATER REV

8,146,350

8,458,681

8,599,232

38.58%

8,891,116

38.31%

3.39%

343.50-25 SEWER/WASTEWATER REV - SEWER FIXED MONTHLY

4,013,929

4,217,896

4,252,405

19.08%

4,476,222

19.29%

5.26%

343.50-50 SEWER/WASTEWATER REV - TAP ON FEE SEWER

369,246

268,038

270,000

1.21%

351,900

1.52%

30.33%

343.60-15 WATER/SEWER COMBINATION - TIFA WELLFIELD O&M

38,944

38,504

69,000

0.31%

40,000

0.17%

(42.03%)

343.70-01 CONSERVATION MGMT FEES - FEES

45,156

45,814

42,800

0.19%

43,100

0.19%

0.70%

343.90-10 PHYSICAL ENVIRONMENT - WATER CONNECTION CHARGE

84,195

77,151

74,500

0.33%

74,400

0.32%

(0.13%)

343.90-16 PHYSICAL ENVIRONMENT - LABORATORY SERVICES

17,966

26,486

26,200

0.12%

28,500

0.12%

8.78%

343.90-20 PHYSICAL ENVIRONMENT - INDL PRETREATMENT

16,076

15,462

17,900

0.08%

14,900

0.06%

(16.76%)

343.90-90 PHYSICAL ENVIRONMENT - ANNEXATION FEE

-

-

500

0.00%

400

0.00%

(20.00%)

TOTAL CHARGES FOR SERVICES

$21,438,007

$22,235,628

$22,287,607

66.10% $23,208,267

89.08%

4.13%


INVESTMENT EARNINGS

361.10-70 INTEREST - OPERATING - LIENS

27,992

48,123

30,200

6.26%

38,400

8.38%

27.15%

361.15-10 INTEREST ON INVESTMENTS - CUSTODIAL INTEREST - PE

91,716

63,259

-

-

-

-

-

361.30-00 NET INC/DEC MARKET VALUE

(27,355)

(118,244)

-

-

-

-

-

361.60-60 DIVIDENDS/MEMBERS EQUITY - T.I.F.A.

33,722

529,867

452,500

93.74%

420,000

91.62%

(7.18%)

TOTAL INVESTMENT EARNINGS

$126,075

$523,006

$482,700

1.43%

$458,400

1.76%

(5.03%)


PRIOR YEAR APPROPRIATIONS

389.50-12 PRIOR YEAR APPROP - UNRESERVED PROPRIETARY

-

-

4,082,710

39.08%

1,440,733

69.91%

(64.71%)

389.50-22 PRIOR YEAR APPROP - RESERVED PROPRIETARY

-

-

6,363,223

60.92%

620,000

30.09%

(90.26%)

TOTAL PRIOR YEAR APPROPRIATIONS

-

-

$10,445,933

30.98%

$2,060,733

7.91%

(80.27%)


127


Titusville City Seal

CITY OF TITUSVILLE

FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE


FUND: 401 - WATER AND SEWER SYSTEM

image



ACTUAL FY2016


ACTUAL FY2017

REVISED BUDGET FY2018

% OF REVISED BUDGET

FY2019 ADOPTED BUDGET

% OF PROPOSED BUDGET

% CHANGE FY2018 TO FY2019


MISCELLANEOUS REVENUES

362.10-20 RENTS & ROYALTIES - ATP LEASES

24,470

24,532

22,700

6.59%

25,300

8.06%

11.45%

363.23-10 PHYSICAL ENVIRONMENT - WATER LINE EXTENSIONS

39,683

61,396

47,000

13.65%

39,000

12.43%

(17.02%)

364.10-00 DISPOSITION FIXED ASSETS

3,835

18,090

3,500

1.02%

8,600

2.74%

145.71%

365.10-00 SURPLUS MATERIALS/SCRAP

13,446

1,155

15,300

4.44%

-

-

(100.00%)

369.40-00 INSURANCE CLAIMS

260

-

-

-

-

-

­

369.90-00 MISCELLANEOUS REVENUE

12,751

17,991

14,300

4.15%

14,100

4.49%

(1.40%)

369.90-13 MISCELLANEOUS REVENUE - SEPTIC TANK HAULING

33,043

35,694

31,000

9.00%

35,800

11.41%

15.48%

369.90-15 MISCELLANEOUS REVENUE - LATE FEE AND PENALTIES

204,008

202,174

210,600

61.15%

191,000

60.87%

(9.31%)

TOTAL MISCELLANEOUS REVENUES

$331,496

$361,031

$344,400

1.02%

$313,800

1.20%

(8.89%)

INTERFUND TRANSFERS IN


11,791

-

235,907

-

- 143,274

- 100.00%

-

-

-

-

­ (100.00%)

$11,791

$235,907

$143,274

0.42%

-

-

(100.00%)

$22,235,142

$23,476,125

$33,716,314

22.60%

$26,054,300

21.90%

(22.72%)

11,791

-

235,907

-

- 143,274

- 100.00%

-

-

-

-

­ (100.00%)

$11,791

$235,907

$143,274

0.42%

-

-

(100.00%)

$22,235,142

$23,476,125

$33,716,314

22.60%

$26,054,300

21.90%

(22.72%)

381.14-02 TRANSFER FROM - UTILITIES CONSTRUCTION

381.16-04 TRANSFER FROM - O.P.E.B. TRUST FUND

TOTAL INTERFUND TRANSFERS IN TOTAL FUND: 401 - WATER AND SEWER SYSTEM


128


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 401 - WATER AND SEWER SYSTEM

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 PERSONNEL SERVICES

3,438,756

3,563,067

4,057,186

62.90%

4,151,638

61.18%

2.33%

13-01 TEMP SALARIES/WAGES

27,444

29,189

52,769

0.82%

6,075

0.09%

(88.49%)

14-01 OVERTIME

146,686

224,059

160,221

2.48%

158,573

2.34%

(1.03%)

15-01 SPECIAL PAY

48,879

47,049

49,850

0.77%

59,950

0.88%

20.26%

21-01 FICA TAXES

306,262

324,172

319,494

4.95%

324,055

4.78%

1.43%

22-01 RETIREMENT CONTRIBUTIONS

811,234

746,040

728,595

11.30%

821,259

12.10%

12.72%

23-01 GROUP HEALTH INSURANCE

614,169

781,188

861,511

13.36%

870,511

12.83%

1.04%

24-01 WORKERS COMPENSATION

113,192

117,015

119,115

1.85%

126,366

1.86%

6.09%

25-01 UNEMPLOYMENT COMPENSATION

825

3,300

14,000

0.22%

15,375

0.23%

9.82%

28-01 OTHER EMPLOYEE BENEFITS

530,507

341,553

319,644

4.96%

395,164

5.82%

23.63%

29-01 OTHER PERSONNEL SVCS

(175,223)

(156,443)

(232,365)

(3.60%)

(143,072)

(2.11%)

38.43%

TOTAL PERSONNEL SERVICES

$5,862,731

$6,020,190

$6,450,020

19.13%

$6,785,894

26.05%

5.21%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

179,164

178,177

291,950

3.45%

407,450

4.81%

39.56%

34-01 OTHER SERVICES

6,515

6,515

6,515

0.08%

6,515

0.08%

­

40-01 TRAVEL & PER DIEM

15,667

17,795

39,650

0.47%

43,531

0.51%

9.79%

41-01 COMMUNICATIONS SERVICES

37,731

36,775

47,659

0.56%

46,585

0.55%

(2.25%)

42-01 FREIGHT & POSTAGE SERVICE

3,180

2,404

7,622

0.09%

7,745

0.09%

1.61%

43-01 UTILITY SERVICES

2,422,098

2,498,204

2,681,304

31.70%

2,395,703

28.31%

(10.65%)

44-01 RENTALS & LEASES

24,928

25,818

35,349

0.42%

35,457

0.42%

0.31%

45-01 INSURANCE

474,839

520,605

384,695

4.55%

368,892

4.36%

(4.11%)

46-01 REPAIR & MAINT SERVICES

497,747

557,675

637,866

7.54%

552,883

6.53%

(13.32%)

47-01 PRINTING & BINDING

1,933

1,693

3,115

0.04%

3,115

0.04%

­

48-01 PROMOTIONAL ACTIVITIES

140

272

1,300

0.02%

1,300

0.02%

­

49-01 OTHER CHARGES/OBLIGATIONS

2,105,523

2,145,230

2,905,358

34.35%

3,251,601

38.42%

11.92%

51-01 OFFICE SUPPLIES

16,731

18,592

28,297

0.33%

28,597

0.34%

1.06%

52-01 OPERATING SUPPLIES

1,016,109

1,042,351

1,363,886

16.13%

1,289,676

15.24%

(5.44%)

54-01 BOOKS/PUBS/SUBS/MEMS

19,373

22,235

23,456

0.28%

23,735

0.28%

1.19%

59-01 DEPRECIATION

4,213,283

4,382,379

-

-

-

-

­

99-99 OTHER USES

(47,399)

-

-

-

-

-

­

TOTAL OPERATING EXPENDITURES/EXPENSES

$10,987,563

$11,456,720

$8,458,022

25.09%

$8,462,785

32.48%

0.06%


CAPITAL

64-00 MACHINERY & EQUIPMENT

99,763

116,509

98,896

14.41%

189,000

52.51%

91.11%

64-20 MACHINERY & EQUIPMENT

268,357

576,787

587,407

85.59%

170,900

47.49%

(70.91%)

99-20 OTHER USES

(1,705,636)

(264,072)

-

-

-

-

­

99-97 OTHER USES

(3,862,411)

(3,409,933)

-

-

-

-

­

TOTAL CAPITAL

($5,199,928)

($2,980,710)

$686,303

2.04%

$359,900

1.38%

(47.56%)


129


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 401 - WATER AND SEWER SYSTEM

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


DEBT SERVICE

71-01 PRINCIPAL

2,430,000

2,525,000

2,655,000

64.87%

2,790,000

68.24%

5.08%

71-30 PRINCIPAL

236,903

238,022

243,087

5.94%

249,809

6.11%

2.77%

72-01 INTEREST

1,364,500

1,238,250

1,105,500

27.01%

966,000

23.63%

(12.62%)

72-20 INTEREST

(186,029)

(186,029)

-

-

-

-

­

72-30 INTEREST

95,402

94,283

89,218

2.18%

82,497

2.02%

(7.53%)

73-01 OTHER DEBT SERVICE COSTS

1,500

-

-

-

-

-

­

73-02 OTHER DEBT SERVICE COSTS

372

372

-

-

-

-

­

90-40 OTHER USES

79,668

70,816

-

-

-

-

­

99-98 OTHER USES

(2,348,185)

(2,763,022)

-

-

-

-

­

TOTAL DEBT SERVICE

$1,674,130

$1,217,691

$4,092,805

12.14%

$4,088,306

15.69%

(0.11%)


OPERATING TRANSFERS OUT

10-01 INTERFUND TRANSFER

1,007,742

1,073,839

1,589,177

24.46%

1,599,020

100.00%

0.62%

14-01 INTERFUND TRANSFER

2,984,000

13,480,848

4,908,031

75.54%

-

-

(100.00%)

15-01 INTERFUND TRANSFER

327,205

110,091

-

-

-

-

­

TOTAL OPERATING TRANSFERS OUT

$4,318,947

$14,664,778

$6,497,208

19.27%

$1,599,020

6.14%

(75.39%)


FUND BALANCE ALLOCATION


-

-

1,168,733

15.52%

4,758,395

100.00%

307.14%

-

-

6,363,223

84.48%

-

-

(100.00%)

-

-

$7,531,956

22.34%

$4,758,395

18.26%

(36.82%)

$17,643,444

$30,378,669

$33,716,314

22.04%

$26,054,300

21.60%

(22.72%)

-

-

1,168,733

15.52%

4,758,395

100.00%

307.14%

-

-

6,363,223

84.48%

-

-

(100.00%)

-

-

$7,531,956

22.34%

$4,758,395

18.26%

(36.82%)

$17,643,444

$30,378,669

$33,716,314

22.04%

$26,054,300

21.60%

(22.72%)

10-01 WORKING CAPITAL - CURRENT YEAR UNRESERVED

20-01 RESERVED

TOTAL FUND BALANCE ALLOCATION TOTAL FUND: 401 - WATER AND SEWER SYSTEM


130


image

Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 16-01 W & S ADMINISTRATION


FUND: 401 - WATER AND SEWER SYSTEM

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 PERSONNEL SERVICES

263,648

280,999

283,743

80.48%

292,302

69.31%

3.02%

13-01 TEMP SALARIES/WAGES

1,040

-

-

0.00%

-

0.00%

0.00%

14-01 OVERTIME

677

414

1,200

0.34%

1,169

0.28%

(2.58%)

21-01 FICA TAXES

19,809

26,257

20,765

5.89%

21,587

5.12%

3.96%

22-01 RETIREMENT CONTRIBUTIONS

59,756

58,284

55,109

15.63%

62,012

14.70%

12.53%

23-01 GROUP HEALTH INSURANCE

27,441

36,686

41,175

11.68%

38,812

9.20%

(5.74%)

24-01 WORKERS COMPENSATION

562

562

566

0.16%

612

0.15%

8.13%

28-01 OTHER PERSONNEL SVCS

-

2,797

-

0.00%

5,221

1.24%

100.00%

29-01 OTHER PERSONNEL SVCS

(49,750)

(47,735)

(50,000)

(14.18%)

-

0.00%

(100.00%)

TOTAL PERSONNEL SERVICES

323,183

358,263

352,558

82.41%

421,715

85.28%

19.62%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

4,540

6,805

14,500

19.27%

14,500

19.92%

0.00%

40-01 TRAVEL & PER DIEM

6,758

8,731

12,300

16.35%

10,300

14.15%

(16.26%)

41-01 COMMUNICATIONS SERVICES

2,126

1,730

2,854

3.79%

2,854

3.92%

0.00%

42-01 FREIGHT & POSTAGE SERVICE

157

70

500

0.66%

500

0.69%

0.00%

44-01 RENTALS & LEASES

17,555

17,986

19,530

25.96%

19,920

27.37%

2.00%

47-01 PRINTING & BINDING

-

-

875

1.16%

875

1.20%

0.00%

49-01 OTHER CHARGES/OBLIGATIONS

8,899

14,591

16,100

21.40%

15,100

20.75%

(6.21%)

51-01 OFFICE SUPPLIES

1,963

2,707

4,338

5.77%

4,338

5.96%

0.00%

52-01 OPERATING SUPPLIES

105

-

100

0.13%

100

0.14%

0.00%

54-01 BOOKS/PUBS/SUBS/MEMS

3,910

4,081

4,146

5.51%

4,300

5.91%

3.71%

TOTAL OPERATING EXPENDITURES/EXPENSES

46,014

56,701

75,243

17.59%

72,787

14.72%

(3.26%)

TOTAL 16-01 W & S ADMINISTRATION

369,197

414,965

427,801

100.00%

494,502

100.00%

15.59%


image

131


image

Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 16-07 UTILITY ENGINEERING


FUND: 401 - WATER AND SEWER SYSTEM

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 PERSONNEL SERVICES

244,491

249,353

370,739

79.59%

390,062

74.67%

5.21%

13-01 TEMP SALARIES/WAGES

-

1,814

-

0.00%

-

0.00%

0.00%

14-01 OVERTIME

2,814

2,783

2,182

0.47%

2,182

0.42%

0.00%

15-01 SPECIAL PAY

1,114

902

900

0.19%

900

0.17%

0.00%

21-01 FICA TAXES

18,076

19,866

27,651

5.94%

28,781

5.51%

4.09%

22-01 RETIREMENT CONTRIBUTIONS

74,184

66,356

68,506

14.71%

80,263

15.37%

17.16%

23-01 GROUP HEALTH INSURANCE

48,930

56,987

63,726

13.68%

71,020

13.60%

11.45%

24-01 WORKERS COMPENSATION

3,795

1,618

1,597

0.34%

1,687

0.32%

5.64%

28-01 OTHER PERSONNEL SVCS

-

3,745

-

0.00%

6,978

1.34%

100.00%

29-01 OTHER PERSONNEL SVCS

(76,785)

(54,770)

(69,500)

(14.92%)

(59,500)

(11.39%)

14.39%

TOTAL PERSONNEL SERVICES

316,619

348,654

465,801

93.74%

522,373

93.85%

12.15%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

1,627

286

5,000

16.08%

5,000

14.60%

0.00%

40-01 TRAVEL & PER DIEM

1,011

32

1,750

5.63%

2,631

7.68%

50.34%

41-01 COMMUNICATIONS SERVICES

2,389

2,540

3,300

10.61%

3,733

10.90%

13.12%

42-01 FREIGHT & POSTAGE SERVICE

161

67

277

0.89%

200

0.58%

(27.80%)

44-01 RENTALS & LEASES

562

542

357

1.15%

216

0.63%

(39.50%)

45-01 INSURANCE

563

591

279

0.90%

268

0.78%

(3.94%)

46-01 REPAIR & MAINT SERVICES

10,513

9,129

11,767

37.84%

10,635

31.04%

(9.62%)

49-01 OTHER CHARGES/OBLIGATIONS

-

-

375

1.21%

375

1.09%

0.00%

51-01 OFFICE SUPPLIES

3,137

2,295

5,333

17.15%

5,333

15.57%

0.00%

52-01 OPERATING SUPPLIES

2,102

1,274

2,246

7.22%

5,456

15.93%

142.92%

54-01 BOOKS/PUBS/SUBS/MEMS

-

119

410

1.32%

410

1.20%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

22,064

16,875

31,094

6.26%

34,257

6.15%

10.17%

TOTAL 16-07 UTILITY ENGINEERING

338,684

365,528

496,895

100.00%

556,630

100.00%

12.02%


image

132


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 16-15 WATER PRODUCTION


FUND: 401 - WATER AND SEWER SYSTEM

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 PERSONNEL SERVICES

590,127

608,875

760,812

64.20%

793,229

63.59%

4.26%

13-01 TEMP SALARIES/WAGES

1,354

-

-

0.00%

-

0.00%

0.00%

14-01 OVERTIME

31,430

38,144

27,359

2.31%

27,359

2.19%

0.00%

15-01 SPECIAL PAY

10,687

11,687

9,550

0.81%

14,350

1.15%

50.26%

21-01 FICA TAXES

83,568

54,293

59,711

5.04%

62,554

5.01%

4.76%

22-01 RETIREMENT CONTRIBUTIONS

145,203

135,857

142,216

12.00%

155,399

12.46%

9.27%

23-01 GROUP HEALTH INSURANCE

113,917

148,425

156,695

13.22%

153,113

12.27%

(2.29%)

24-01 WORKERS COMPENSATION

25,329

26,385

28,783

2.43%

28,168

2.26%

(2.14%)

28-01 OTHER PERSONNEL SVCS

-

7,642

-

0.00%

13,262

1.06%

100.00%

TOTAL PERSONNEL SERVICES

1,001,614

1,031,308

1,185,126

44.96%

1,247,434

50.34%

5.26%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

22,653

15,996

37,300

2.57%

33,300

2.71%

(10.72%)

34-01 OTHER SERVICES

6,515

6,515

6,515

0.45%

6,515

0.53%

0.00%

40-01 TRAVEL & PER DIEM

674

979

3,500

0.24%

3,500

0.28%

0.00%

41-01 COMMUNICATIONS SERVICES

8,298

8,395

9,680

0.67%

7,173

0.58%

(25.90%)

42-01 FREIGHT & POSTAGE SERVICE

191

425

3,500

0.24%

3,500

0.28%

0.00%

43-01 UTILITY SERVICES

893,904

694,448

644,257

44.41%

520,005

42.26%

(19.29%)

44-01 RENTALS & LEASES

1,108

559

662

0.05%

521

0.04%

(21.30%)

45-01 INSURANCE

3,222

3,381

3,694

0.25%

3,545

0.29%

(4.03%)

46-01 REPAIR & MAINT SERVICES

57,581

67,778

73,245

5.05%

60,407

4.91%

(17.53%)

47-01 PRINTING & BINDING

1,489

1,564

1,700

0.12%

1,700

0.14%

0.00%

48-01 PROMOTIONAL ACTIVITIES

90

187

300

0.02%

300

0.02%

0.00%

49-01 OTHER CHARGES/OBLIGATIONS

12,988

19,269

13,515

0.93%

18,575

1.51%

37.44%

51-01 OFFICE SUPPLIES

1,158

1,574

3,126

0.22%

3,126

0.25%

0.00%

52-01 OPERATING SUPPLIES

361,279

397,681

648,240

44.68%

566,720

46.06%

(12.58%)

54-01 BOOKS/PUBS/SUBS/MEMS

693

1,335

1,500

0.10%

1,625

0.13%

8.33%

TOTAL OPERATING EXPENDITURES/EXPENSES

1,371,843

1,220,085

1,450,734

55.04%

1,230,512

49.66%

(15.18%)

TOTAL 16-15 WATER PRODUCTION

2,373,458

2,251,393

2,635,860

100.00%

2,477,946

100.00%

(5.99%)


133


Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE

image

FY2019 ADOPTED BUDGET 16-16 FIELD OPERATIONS


FUND: 401 - WATER AND SEWER SYSTEM

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 PERSONNEL SERVICES

1,014,857

1,036,402

1,224,746

68.38%

1,205,443

65.43%

(1.58%)

13-01 TEMP SALARIES/WAGES

16,388

7,690

6,075

0.34%

6,075

0.33%

0.00%

14-01 OVERTIME

48,835

105,680

60,000

3.35%

60,000

3.26%

0.00%

15-01 SPECIAL PAY

22,777

20,260

22,200

1.24%

31,200

1.69%

40.54%

21-01 FICA TAXES

80,328

95,732

95,948

5.36%

95,244

5.17%

(0.73%)

22-01 RETIREMENT CONTRIBUTIONS

258,885

222,079

215,688

12.04%

226,424

12.29%

4.98%

23-01 GROUP HEALTH INSURANCE

198,254

248,569

272,040

15.19%

275,784

14.97%

1.38%

24-01 WORKERS COMPENSATION

37,663

38,752

39,410

2.20%

46,617

2.53%

18.29%

28-01 OTHER PERSONNEL SVCS

-

12,679

-

0.00%

20,484

1.11%

100.00%

29-01 OTHER PERSONNEL SVCS

(79,941)

(103,937)

(145,000)

(8.10%)

(125,000)

(6.79%)

13.79%

TOTAL PERSONNEL SERVICES

1,598,047

1,683,907

1,791,107

67.99%

1,842,271

71.37%

2.86%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

66,735

64,572

102,000

12.10%

98,200

13.29%

(3.73%)

40-01 TRAVEL & PER DIEM

5,912

5,785

7,000

0.83%

7,000

0.95%

0.00%

41-01 COMMUNICATIONS SERVICES

12,668

12,388

18,025

2.14%

18,025

2.44%

0.00%

42-01 FREIGHT & POSTAGE SERVICE

1,355

713

1,545

0.18%

1,545

0.21%

0.00%

43-01 UTILITY SERVICES

164,325

168,079

223,000

26.44%

188,000

25.43%

(15.70%)

44-01 RENTALS & LEASES

787

782

3,900

0.46%

3,900

0.53%

0.00%

45-01 INSURANCE

15,239

15,990

12,840

1.52%

11,365

1.54%

(11.49%)

46-01 REPAIR & MAINT SERVICES

178,798

227,132

273,141

32.39%

208,674

28.23%

(23.60%)

47-01 PRINTING & BINDING

444

129

540

0.06%

540

0.07%

0.00%

48-01 PROMOTIONAL ACTIVITIES

-

-

1,000

0.12%

1,000

0.14%

0.00%

49-01 OTHER CHARGES/OBLIGATIONS

1,513

871

1,950

0.23%

2,100

0.28%

7.69%

51-01 OFFICE SUPPLIES

3,851

4,952

7,000

0.83%

7,000

0.95%

0.00%

52-01 OPERATING SUPPLIES

188,863

198,749

190,476

22.59%

190,926

25.83%

0.24%

54-01 BOOKS/PUBS/SUBS/MEMS

764

268

900

0.11%

900

0.12%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

641,252

700,409

843,317

32.01%

739,175

28.63%

(12.35%)

TOTAL 16-16 FIELD OPERATIONS

2,239,299

2,384,316

2,634,424

100.00%

2,581,446

100.00%

(2.01%)


image

134


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 16-18 WATER RECLAMATION


FUND: 401 - WATER AND SEWER SYSTEM

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

870,054

921,896

955,594

64.55%

989,456

62.92%

3.54%

14-01 OVERTIME

55,109

70,231

61,783

4.17%

60,166

3.83%

(2.62%)

15-01 SPECIAL PAY

7,290

8,225

7,400

0.50%

6,800

0.43%

(8.11%)

21-01 FICA TAXES

69,136

85,395

76,350

5.16%

78,369

4.98%

2.64%

22-01 RETIREMENT CONTRIBUTIONS

175,306

173,770

173,232

11.70%

198,132

12.60%

14.37%

23-01 GROUP HEALTH INSURANCE

128,118

161,006

176,559

11.93%

189,356

12.04%

7.25%

24-01 WORKERS COMPENSATION

27,088

29,500

29,535

1.99%

32,555

2.07%

10.23%

28-01 OTHER EMPLOYEE BENEFITS

-

9,577

-

0.00%

17,715

1.13%

100.00%

TOTAL PERSONNEL SERVICES

1,332,103

1,459,601

1,480,453

52.92%

1,572,549

56.64%

6.22%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

63,864

53,080

66,400

5.04%

79,700

6.62%

20.03%

40-01 TRAVEL & PER DIEM

264

1,051

1,700

0.13%

1,700

0.14%

0.00%

41-01 COMMUNICATIONS SERVICES

4,958

5,361

5,360

0.41%

5,480

0.46%

2.24%

42-01 FREIGHT & POSTAGE SERVICE

792

522

1,100

0.08%

1,100

0.09%

0.00%

43-01 UTILITY SERVICES

410,009

480,560

614,047

46.63%

487,698

40.50%

(20.58%)

44-01 RENTALS & LEASES

3,102

4,086

7,900

0.60%

7,900

0.66%

0.00%

45-01 INSURANCE

4,541

4,765

5,659

0.43%

6,387

0.53%

12.86%

46-01 REPAIR & MAINT SERVICES

207,579

213,068

229,085

17.40%

221,006

18.35%

(3.53%)

48-01 PROMOTIONAL ACTIVITIES

50

85

-

0.00%

-

0.00%

0.00%

49-01 OTHER CHARGES/OBLIGATIONS

209

888

1,000

0.08%

1,000

0.08%

0.00%

51-01 OFFICE SUPPLIES

3,160

4,270

5,000

0.38%

5,000

0.42%

0.00%

52-01 OPERATING SUPPLIES

384,870

353,779

368,200

27.96%

375,700

31.20%

2.04%

54-01 BOOKS/PUBS/SUBS/MEMS

9,506

11,752

11,400

0.87%

11,400

0.95%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

1,092,904

1,133,265

1,316,851

47.08%

1,204,071

43.36%

(8.56%)

TOTAL 16-18 WATER RECLAMATION

2,425,007

2,592,866

2,797,304

100.00%

2,776,620

100.00%

(0.74%)


135


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 16-19 LABORATORY SERVICES


FUND: 401 - WATER AND SEWER SYSTEM

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

246,092

273,870

247,021

63.71%

243,256

65.78%

(1.52%)

13-01 TEMP SALARIES/WAGES

8,661

19,685

19,694

5.08%

-

0.00%

(100.00%)

14-01 OVERTIME

7,668

4,867

3,697

0.95%

3,697

1.00%

0.00%

15-01 SPECIAL PAY

5,260

4,845

7,000

1.81%

3,300

0.89%

(52.86%)

21-01 FICA TAXES

19,662

27,339

20,441

5.27%

18,873

5.10%

(7.67%)

22-01 RETIREMENT CONTRIBUTIONS

50,958

47,601

33,615

8.67%

48,560

13.13%

44.46%

23-01 GROUP HEALTH INSURANCE

33,716

40,349

46,088

11.89%

39,159

10.59%

(15.03%)

24-01 WORKERS COMPENSATION

10,700

10,829

10,143

2.62%

8,591

2.32%

(15.30%)

28-01 OTHER EMPLOYEE BENEFITS

-

2,702

-

0.00%

4,377

1.18%

100.00%

TOTAL PERSONNEL SERVICES

382,717

432,087

387,699

77.04%

369,813

70.60%

(4.61%)


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

3,559

-

4,600

3.98%

30,100

19.54%

554.35%

40-01 TRAVEL & PER DIEM

1,048

1,216

3,400

2.94%

3,400

2.21%

0.00%

41-01 COMMUNICATIONS SERVICES

542

526

1,440

1.25%

960

0.62%

(33.33%)

42-01 FREIGHT & POSTAGE SERVICE

525

546

550

0.48%

750

0.49%

36.36%

44-01 RENTALS & LEASES

1,814

1,864

3,000

2.60%

3,000

1.95%

0.00%

45-01 INSURANCE

300

315

275

0.24%

425

0.28%

54.55%

46-01 REPAIR & MAINT SERVICES

34,962

29,210

37,138

32.13%

42,923

27.87%

15.58%

51-01 OFFICE SUPPLIES

1,900

2,185

1,900

1.64%

2,200

1.43%

15.79%

52-01 OPERATING SUPPLIES

65,888

60,082

58,774

50.85%

65,774

42.70%

11.91%

54-01 BOOKS/PUBS/SUBS/MEMS

4,500

4,570

4,500

3.89%

4,500

2.92%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

115,039

100,515

115,577

22.96%

154,032

29.40%

33.27%

TOTAL 16-19 LABORATORY SERVICES

497,756

532,602

503,276

100.00%

523,845

100.00%

4.09%


136


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Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 16-29 ELECTRONIC SERVICES


FUND: 401 - WATER AND SEWER SYSTEM

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

209,486

191,671

214,531

63.22%

237,890

66.63%

10.89%

13-01 TEMP SALARIES/WAGES

-

-

27,000

7.96%

-

0.00%

(100.00%)

14-01 OVERTIME

153

1,940

4,000

1.18%

4,000

1.12%

0.00%

15-01 SPECIAL PAY

1,751

1,130

2,800

0.83%

3,400

0.95%

21.43%

21-01 FICA TAXES

15,683

15,289

18,628

5.49%

18,647

5.22%

0.10%

22-01 RETIREMENT CONTRIBUTIONS

46,942

42,093

40,229

11.85%

50,469

14.14%

25.45%

23-01 GROUP HEALTH INSURANCE

30,686

39,504

42,152

12.42%

40,191

11.26%

(4.65%)

24-01 WORKERS COMPENSATION

8,055

9,369

9,081

2.68%

8,136

2.28%

(10.41%)

28-01 OTHER EMPLOYEE BENEFITS

-

2,242

-

0.00%

4,292

1.20%

100.00%

29-01 OTHER PERSONNEL SVCS

(18,748)

-

(19,078)

(5.62%)

(10,000)

(2.80%)

47.58%

TOTAL PERSONNEL SERVICES

294,008

303,239

339,343

77.28%

357,025

79.69%

5.21%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

-

35

150

0.15%

150

0.16%

0.00%

40-01 TRAVEL & PER DIEM

-

-

10,000

10.02%

15,000

16.48%

50.00%

41-01 COMMUNICATIONS SERVICES

6,750

5,835

7,000

7.02%

8,360

9.19%

19.43%

42-01 FREIGHT & POSTAGE SERVICE

-

61

150

0.15%

150

0.16%

0.00%

45-01 INSURANCE

1,294

1,358

821

0.82%

788

0.87%

(4.02%)

46-01 REPAIR & MAINT SERVICES

8,314

11,359

13,490

13.52%

9,238

10.15%

(31.52%)

49-01 OTHER CHARGES/OBLIGATIONS

-

-

125

0.13%

125

0.14%

0.00%

51-01 OFFICE SUPPLIES

1,562

609

1,600

1.60%

1,600

1.76%

0.00%

52-01 OPERATING SUPPLIES

13,736

21,584

65,850

65.99%

55,000

60.43%

(16.48%)

54-01 BOOKS/PUBS/SUBS/MEMS

-

111

600

0.60%

600

0.66%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

31,656

40,952

99,786

22.72%

91,011

20.31%

(8.79%)

TOTAL 16-29 ELECTRONIC SERVICES

325,664

344,191

439,129

100.00%

448,036

100.00%

2.03%


image

137


Titusville City Seal

CITY OF TITUSVILLE EXPENDITURE SUMMARY BY TYPE

image

FY2019 ADOPTED BUDGET 55-55 NON-DEPARTMENTAL



FUND: 401 - WATER AND SEWER SYSTEM

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019

PERSONNEL SERVICES


23-04 GROUP HEALTH INSURANCE - CLINIC 33,108

49,662

63,076

14.08%

63,076

13.93%

­

25-01 UNEMPLOYMENT COMPENSATION - UNEMPLOYMENT COMPENSATION 825

3,300

14,000

3.13%

15,375

3.40%

9.82%

28-01 OTHER EMPLOYEE BENEFITS - OPEB - HEALTH 509,809

279,752

297,687

66.46%

302,708

66.87%

1.69%

28-03 OTHER EMPLOYEE BENEFITS - OPEB - DENTAL 20,699

20,418

21,957

4.90%

20,127

4.45%

(8.33%)

29-99 OTHER PERSONNEL SVCS - EXPENSE CREDIT - LABOR 50,000

50,000

51,213

11.43%

51,428

11.36%

0.42%

TOTAL PERSONNEL SERVICES $614,440

$403,131

$447,933

1.88%

$452,714

2.80%

1.07%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES - PROFESSIONAL SERVICES

1,981

21,404

20,000

0.44%

100,000

2.03%

400.00%

31-10 PROFESSIONAL SERVICES - LEGAL

-

-

26,000

0.57%

30,000

0.61%

15.38%

31-70 PROFESSIONAL SERVICES - WATER RATE STUDY

14,205

16,000

16,000

0.35%

16,500

0.33%

3.13%

43-01 UTILITY SERVICES - UTILITY SERVICES

953,859

1,155,118

1,200,000

26.52%

1,200,000

24.31%

­

45-10 INSURANCE - GENERAL LIABILITY

449,680

494,205

361,127

7.98%

346,114

7.01%

(4.16%)

49-01 OTHER CHARGES/OBLIGATIONS - OTHER CHARGES/OBLIGATIONS

1,976,150

2,090,292

2,142,081

47.33%

2,410,040

48.82%

12.51%

49-02 OTHER CHARGES/OBLIGATIONS - MIS CHARGES

453,213

449,969

730,212

16.14%

804,286

16.29%

10.14%

49-60 OTHER CHARGES/OBLIGATIONS - BAD DEBT EXPENSE

-

57,585

-

-

-

-

­

49-99 OTHER CHARGES/OBLIGATIONS - RECLASS MPRB CHARGE/OBLIG

(347,449)

(488,235)

-

-

-

-

­

52-01 OPERATING SUPPLIES - OPERATING SUPPLIES

316,243

456,547

495,000

10.94%

500,000

10.13%

1.01%

52-07 OPERATING SUPPLIES - WATER CONSERVATION

22,047

12,752

30,000

0.66%

30,000

0.61%

­

52-99 OPERATING SUPPLIES - EXPENSE CREDITS

(339,023)

(460,098)

(495,000)

(10.94%)

(500,000)

(10.13%)

(1.01%)

59-01 DEPRECIATION - GENERAL

4,213,283

4,382,379

-

-

-

-

­

99-99 OTHER USES - MISCELLANEOUS

(47,399)

-

-

-

-

-

­

TOTAL OPERATING EXPENDITURES/EXPENSES

$7,666,790

$8,187,917

$4,525,420

19.03%

$4,936,940

30.48%

9.09%


CAPITAL

64-00 MACHINERY & EQUIPMENT

99,763

116,509

98,896

14.41%

189,000

52.51%

91.11%

64-20 MACHINERY & EQUIPMENT - VEHICLES

268,357

576,787

587,407

85.59%

170,900

47.49%

(70.91%)

99-20 OTHER USES - RECLASS CLOSED PROJECTS

(1,705,636)

(264,072)

-

-

-

-

­

99-97 OTHER USES - ASSET RECLASS

(3,862,411)

(3,409,933)

-

-

-

-

­

TOTAL CAPITAL

($5,199,928)

($2,980,710)

$686,303

2.89%

$359,900

2.22%

(47.56%)


DEBT SERVICE

71-01 PRINCIPAL - 2010 SERIES BONDS

2,430,000

2,525,000

2,655,000

64.87%

2,790,000

68.24%

5.08%

71-30 PRINCIPAL - AREA IV WELL LOAN

236,903

238,022

243,087

5.94%

249,809

6.11%

2.77%

72-01 INTEREST - BONDS

1,364,500

1,238,250

1,105,500

27.01%

966,000

23.63%

(12.62%)

72-20 INTEREST - BONDS EXPENSE

(186,029)

(186,029)

-

-

-

-

­

72-30 INTEREST - AREA IV WELL LOAN

95,402

94,283

89,218

2.18%

82,497

2.02%

(7.53%)

73-01 OTHER DEBT SERVICE COSTS - ISSUE

1,500

-

-

-

-

-

­

73-02 OTHER DEBT SERVICE COSTS - FISCAL AGENT FEES

372

372

-

-

-

-

­

90-40 OTHER USES - 98 BOND ISSUE/DISC COSTS

79,668

70,816

-

-

-

-

­

99-98 OTHER USES - PRINCIPAL RECLASS

(2,348,185)

(2,763,022)

-

-

-

-

­

TOTAL DEBT SERVICE

$1,674,130

$1,217,691

$4,092,805

17.21%

$4,088,306

25.24%

(0.11%)


OPERATING TRANSFERS OUT

10-01 INTERFUND TRANSFER - GENERAL FUND

1,007,742

1,073,839

1,589,177

24.46%

1,599,020

100.00%

0.62%

14-02 INTERFUND TRANSFER - W/S CONSTRUCTION

2,984,000

13,480,848

4,908,031

75.54%

-

-

(100.00%)

15-11 INTERFUND TRANSFER - PARTIALLY SELF INSURED

327,205

110,091

-

-

-

-

­

TOTAL OPERATING TRANSFERS OUT

$4,318,947

$14,664,778

$6,497,208

27.32%

$1,599,020

9.87%

(75.39%)


138


Titusville City Seal

CITY OF TITUSVILLE EXPENDITURE SUMMARY BY TYPE

FY2019 ADOPTED BUDGET 55-55 NON-DEPARTMENTAL



FUND: 401 - WATER AND SEWER SYSTEM

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


FUND BALANCE ALLOCATION

10-01 CONTINGENCY UNRESERVED - CURRENT YEAR UNRESERVED

- - 1,168,733

15.52%

4,758,395

100.00%

307.14%

20-01 RESERVED - RESERVED PROPRIETARY

- - 6,363,223

84.48%

-

-

(100.00%)

TOTAL FUND BALANCE ALLOCATION

- - $7,531,956

31.67%

$4,758,395

29.38%

(36.82%)

TOTAL FUND: 401 - WATER AND SEWER SYSTEM

$9,074,380 $21,492,808 $23,781,625

100.00%

$16,195,275

100.00%

(31.90%)


139


Titusville City Seal

Departmental Capital Outlay Schedule Fiscal Year 2019




Fund/Dept


Dept Name


Account Number


Project


Description

Adopted Annual Budget


001/0901


Fire & Emergency Services


001-5555-580.64-00


Z01901

(40) MSA G1 SCBA air packs, (65) MSA G1 SCBA facemasks, (100) MSA composite 4500psi 45 minute SCBA bottles, (1) Scott compressor and revolair fill station (1) Fit test machine with 5 Year calibration and maintenance option (Financed)


$ 400,000

001/1707

Community Relations

001-5555-580.64-00

Z01902

Closed caption encoder bundle

$ 60,000

TOTAL FOR GENERAL FUND CURRENT OPERATIONS

$ 460,000

401/1615

Water Production

401-5555-580.64-00

Z01903

Drive Unit (6MGD Clarifier)

$ 145,000

401/1615

Water Production

401-5555-580.64-00

Z01904

Chlorine Skid

$ 44,000

TOTAL FOR WATER & SEWER FUND CURRENT OPERATIONS

$ 189,000

404/1512

Solid Waste Refuse

404-5555-580.64-00

Z01905

Dumpsters

$ 50,000

404/1512

Solid Waste Refuse

404-5555-580.64-00

Z01906

Automated Carts

$ 50,000

TOTAL FOR SOLID WASTE FUND CURRENT OPERATIONS

$ 100,000

405

Municipal Marina

405-5555-580.64-00

Z01907

Mooring Attachments

$ 30,000

405

Municipal Marina

405-5555-580.64-00

Z01908

Bathroom Remodel

$ 35,000

TOTAL FOR MUNICIPAL MARINA FUND CURRENT OPERATIONS

$ 65,000

GRAND TOTAL

$ 814,000


140


Titusville City Seal

Vehicle Capital Outlay Schedule Fiscal Year 2019


Fund

Dept Name

Account Number

Project

Description

Adopted Annual Budget

001

Law Enforcement

001-5555-580.64-20

Z01914

11 Vehicles (8 Interceptors@$41,840; 3 Impalas@$24,849) (Lease Buyout)

$ 66,689


001


Law Enforcement


001-5555-580.64-20


Z01915

10 Vehicles (replacements of high mileage/deferred vehicles (#8256, 8405, 8409, 8411, 8438,

8496, 8521, 8434, 8360, 8443). (Financed)


$ 511,790

001

Fire & Emergency Services

001-5555-580.64-20

Z01916

2018/19 Chevrolet Traverse 4X2 Utility Vehicle with all associated equipment (Financed)

$ 36,000

001

Public Works-Facilities

001-5555-580.64-20

Z01917

2019 1/2-Ton Extended Cab Pickup-Replace Veh#2858 (Financed)

$ 25,000

001

Public Works-Streets

001-5555-580.64-20

Z01918

2019 1/2-Ton Extended Cab Pickup-Replace Veh#4709 (Financed)

$ 25,000

001

Public Works-Streets

001-5555-580.64-20

Z01919

2019 1-Ton Extended Cab Pickup-Replace Veh#5624 (Financed)

$ 40,000

001

Public Works-Streets

001-5555-580.64-20

Z01920

2019 1/2-Ton Extended Cab Pickup-Replace Veh#8031 (Financed)

$ 25,000

001

TOTAL GENERAL FUND

$ 729,479

401

Water & Sewer Utility-Field Operations

401-5555-580.64-20

Z01921

1-Ton Van-Replaces Veh#8202

$ 49,900

401

Water & Sewer Utility-Field Operations

401-5555-580.64-20

Z01922

1-Ton 4X4 Service Truck w/Utility Style Svc Body & Crane-Replaces Veh#8156

$ 71,000

401

Water & Sewer Utility-Water Reclamation

401-5555-580.64-20

Z01923

Kubota M5-091 4-WD Tractor w/Loader-Replaces '93 Ford 7740 2-WD Tractor w/Loader

$ 50,000

401

TOTAL WATER & SEWER UTILITY FUND

$ 170,900

404

Solid Waste-Refuse

404-5555-580.64-20

Z01924

2019 Front-End Loader Garbage Truck-Replace Veh#8334 (Financed)

$ 265,000

404

Solid Waste-Refuse

404-5555-580.64-20

Z01925

2019 1/2-Ton Extended Cab Pickup-Replace Veh#7994

$ 25,000

404

Solid Waste-Refuse

404-5555-580.64-20

Z01926

2019 1/2-Ton Extended Cab Pickup-Replace Veh#7988

$ 25,000

404

TOTAL SOLID WASTE FUND

$ 315,000

406

Stormwater Utility Management Fund

406-5555-580.64-20

Z01927

2019 Gradall 4100-Replace Veh#8397 (Financed)

$ 450,000

406

Stormwater Utility Management Fund

406-5555-580.64-20

Z01928

2019 3/4-Ton 4X4 Crew Cab Pickup-Replace Veh#8369

$ 40,000

406

TOTAL STORMWATER UTILITY FUND

$ 490,000

TOTAL FLEET REPLACEMENT FOR CURRENT OPERATIONS

$ 1,705,379


141


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142


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 404 - SOLID WASTE

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


INTERGOVERNMENTAL REVENUES

331.50-01 ECONOMIC ENVIRONMENT - FEMA-HURRICANE MATTHEW

-

242,939

-

-

-

-

-

331.50-02 ECONOMIC ENVIRONMENT - FEMA-HURRICANE IRMA

-

16,508

-

-

-

-

-

335.40-01 TRANSPORTATION - MOTOR VEH TAX GENERAL

3,124

23,957

9,325

100.00%

13,450

100.00%

44.24%

TOTAL INTERGOVERNMENTAL REVENUES

$3,124

$283,404

$9,325

0.16%

$13,450

0.23%

44.24%


CHARGES FOR SERVICES

343.40-10 GARBAGE/SOLID WASTE - REFUSE

3,710,377

3,933,967

3,968,000

86.39%

4,240,000

86.30%

6.85%

343.40-20 GARBAGE/SOLID WASTE - RECYCLE

224,587

240,254

265,000

5.77%

354,000

7.21%

33.58%

343.40-30 GARBAGE/SOLID WASTE - DUMPSTER RENTAL

285,930

298,268

360,000

7.84%

319,000

6.49%

(11.39%)

TOTAL CHARGES FOR SERVICES

$4,220,893

$4,472,489

$4,593,000

81.00% $4,913,000

84.62%

6.97%


INVESTMENT EARNINGS

361.15-10 INTEREST ON INVESTMENTS - CUSTODIAL INTEREST - PE

8,184

3,298

-

-

-

-

-

361.30-00 NET INC/DEC MARKET VALUE

(728)

(6,625)

-

-

-

-

-

TOTAL INVESTMENT EARNINGS

$7,456

($3,328)

-

-

-

-

-


PRIOR YEAR APPROPRIATIONS

389.50-12 PRIOR YEAR APPROP - UNRESERVED PROPRIETARY

-

-

348,514

100.00%

382,000

100.00%

9.61%

TOTAL PRIOR YEAR APPROPRIATIONS

-

-

$348,514

6.15%

$382,000

6.58%

9.61%


MISCELLANEOUS REVENUES

364.10-00 DISPOSITION FIXED ASSETS

46,080

29,520

-

-

-

-

-

365.10-00 SURPLUS MATERIALS/SCRAP

3,049

8,968

4,000

1.76%

6,000

9.67%

50.00%

369.90-00 MISCELLANEOUS REVENUE

1,578

10,711

166,800

73.52%

-

-

(100.00%)

388.14-05 REIMBURSE PRINCIPAL - MARINA

16,740

16,403

56,066

24.71%

56,066

90.33%

-

TOTAL MISCELLANEOUS REVENUES

$67,447

$65,601

$226,866

4.00%

$62,066

1.07%

(72.64%)


INTERFUND TRANSFERS IN

381.14-06 TRANSFER FROM - STORMWATER UTILITY FUND

132,702

108,029

167,575

34.02%

170,280

39.12%

1.61%

381.16-04 TRANSFER FROM - O.P.E.B. TRUST FUND

-

-

44,418

9.02%

-

-

(100.00%)

383.10-10 OTHER SOURCES - INSTALL PURCH PROCEEDS

-

-

280,545

56.96%

265,000

60.88%

(5.54%)

TOTAL INTERFUND TRANSFERS IN

$132,702

$108,029

$492,538

8.69%

$435,280

7.50%

(11.63%)

TOTAL FUND: 404 - SOLID WASTE

$4,431,622

$4,926,196

$5,670,243

3.80% $5,805,796

4.88%

2.39%


143


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 404 - SOLID WASTE

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

1,008,262

983,713

1,134,714

53.83%

1,149,321

53.19%

1.29%

13-01 TEMP SALARIES/WAGES

25,792

31,138

26,078

1.24%

26,078

1.21%

-

14-01 OVERTIME

177,775

242,614

147,000

6.97%

147,000

6.80%

-

15-01 SPECIAL PAY

5,850

6,400

8,850

0.42%

8,850

0.41%

-

21-01 FICA TAXES

94,368

97,938

90,365

4.29%

92,374

4.27%

2.22%

22-01 RETIREMENT CONTRIBUTIONS

212,651

200,497

198,602

9.42%

225,146

10.42%

13.37%

23-01 GROUP HEALTH INSURANCE

221,130

280,062

311,536

14.78%

312,993

14.48%

0.47%

24-01 WORKERS COMPENSATION

89,471

88,815

87,965

4.17%

77,430

3.58%

(11.98%)

25-01 UNEMPLOYMENT COMPENSATION

3,269

-

3,000

0.14%

1,112

0.05%

(62.93%)

28-01 OTHER EMPLOYEE BENEFITS

189,789

102,703

99,930

4.74%

120,654

5.58%

20.74%

TOTAL PERSONNEL SERVICES

$2,028,357

$2,033,879

$2,108,040

37.18%

$2,160,958

37.22%

2.51%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

85,877

86,532

151,000

6.02%

244,000

10.13%

61.59%

40-01 TRAVEL & PER DIEM

2,187

1,328

1,320

0.05%

1,320

0.05%

-

41-01 COMMUNICATIONS SERVICES

2,020

2,239

1,518

0.06%

2,688

0.11%

77.08%

42-01 FREIGHT & POSTAGE SERVICE

458

440

1,000

0.04%

1,600

0.07%

60.00%

43-01 UTILITY SERVICES

21,346

17,075

302,200

12.04%

26,200

1.09%

(91.33%)

44-01 RENTALS & LEASES

79,288

78,969

35,000

1.39%

65,693

2.73%

87.69%

45-01 INSURANCE

61,601

66,186

60,189

2.40%

73,453

3.05%

22.04%

46-01 REPAIR & MAINT SERVICES

1,020,268

1,153,644

1,173,199

46.74%

1,101,874

45.74%

(6.08%)

47-01 PRINTING & BINDING

470

305

1,000

0.04%

-

-

(100.00%)

48-01 PROMOTIONAL ACTIVITIES

2,475

2,347

3,000

0.12%

3,000

0.12%

-

49-01 OTHER CHARGES/OBLIGATIONS

549,537

623,028

689,062

27.45%

796,903

33.08%

15.65%

51-01 OFFICE SUPPLIES

1,500

1,574

1,800

0.07%

2,100

0.09%

16.67%

52-01 OPERATING SUPPLIES

153,321

131,264

90,000

3.59%

90,000

3.74%

-

59-01 DEPRECIATION

692,833

744,092

-

-

-

-

-

99-99 OTHER USES

(2,566)

-

-

-

-

-

-

TOTAL OPERATING EXPENDITURES/EXPENSES

$2,670,615

$2,909,022

$2,510,288

44.27%

$2,408,831

41.49%

(4.04%)


CAPITAL

64-00 MACHINERY & EQUIPMENT

-

-

75,000

21.09%

100,000

24.10%

33.33%

64-20 MACHINERY & EQUIPMENT

852,101

-

280,545

78.91%

315,000

75.90%

12.28%

99-97 OTHER USES

(852,101)

-

-

-

-

-

-

TOTAL CAPITAL

-

-

$355,545

6.27%

$415,000

7.15%

16.72%


DEBT SERVICE

71-40 PRINCIPAL

122,833

115,036

301,160

95.78%

201,816

86.95%

(32.99%)

72-40 INTEREST

4,070

1,292

13,262

4.22%

30,286

13.05%

128.37%

99-98 OTHER USES

(112,833)

(105,036)

-

-

-

-

-

TOTAL DEBT SERVICE

$14,070

$11,292

$314,422

5.55%

$232,102

4.00%

(26.18%)


144


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 404 - SOLID WASTE

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


OPERATING TRANSFERS OUT

13-01 INTERFUND TRANSFER

-

100,000

-

-

-

-

-

15-01 INTERFUND TRANSFER

114,522

38,746

-

-

-

-

-

TOTAL OPERATING TRANSFERS OUT

$114,522

$138,746

-

-

-

-

-


FUND BALANCE ALLOCATION

10-01 WORKING CAPITAL - CURRENT YEAR UNRESERVED

-

-

381,948

100.00%

588,905

100.00%

54.18%

TOTAL FUND BALANCE ALLOCATION

-

-

$381,948

6.74%

$588,905

10.14%

54.18%

TOTAL FUND: 404 - SOLID WASTE

$4,827,564

$5,092,939

$5,670,243

3.71%

$5,805,796

4.81%

2.39%


145


image

Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 15-12 REFUSE


FUND: 404 - SOLID WASTE

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

935,296

892,832

1,040,885

57.31%

1,054,619

56.41%

1.32%

13-01 TEMP SALARIES/WAGES

25,792

31,138

26,078

1.44%

26,078

1.39%

0.00%

14-01 OVERTIME

165,917

215,697

135,000

7.43%

135,000

7.22%

0.00%

15-01 SPECIAL PAY

5,350

5,600

7,650

0.42%

7,650

0.41%

0.00%

21-01 FICA TAXES

88,073

88,835

82,976

4.57%

84,489

4.52%

1.82%

22-01 RETIREMENT CONTRIBUTIONS

194,551

184,592

183,194

10.09%

206,992

11.07%

12.99%

23-01 GROUP HEALTH INSURANCE

191,435

238,539

261,178

14.38%

266,573

14.26%

2.07%

24-01 WORKERS COMPENSATION

80,803

80,025

79,317

4.37%

69,792

3.73%

(12.01%)

28-01 OTHER EMPLOYEE BENEFITS

-

10,434

-

0.00%

18,318

0.98%

100.00%

TOTAL PERSONNEL SERVICES

1,687,216

1,747,692

1,816,278

53.20%

1,869,511

59.30%

2.93%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

77,425

86,532

107,000

6.70%

100,000

7.79%

(6.54%)

40-01 TRAVEL & PER DIEM

2,187

1,328

1,320

0.08%

1,320

0.10%

0.00%

41-01 COMMUNICATIONS SERVICES

1,797

2,044

1,518

0.10%

2,688

0.21%

77.08%

42-01 FREIGHT & POSTAGE SERVICE

458

440

1,000

0.06%

1,600

0.12%

60.00%

43-01 UTILITY SERVICES

20,371

16,129

301,000

18.84%

25,000

1.95%

(91.69%)

44-01 RENTALS & LEASES

79,288

78,969

35,000

2.19%

65,693

5.12%

87.69%

45-01 INSURANCE

26,406

27,707

32,199

2.02%

30,903

2.41%

(4.02%)

46-01 REPAIR & MAINT SERVICES

902,935

1,034,681

1,039,143

65.04%

976,349

76.08%

(6.04%)

47-01 PRINTING & BINDING

470

-

-

0.00%

-

0.00%

0.00%

48-01 PROMOTIONAL ACTIVITIES

2,475

2,347

3,000

0.19%

3,000

0.23%

0.00%

51-01 OFFICE SUPPLIES

1,294

1,453

1,600

0.10%

1,700

0.13%

6.25%

52-01 OPERATING SUPPLIES

133,819

116,974

75,000

4.69%

75,000

5.84%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

1,248,925

1,368,604

1,597,780

46.80%

1,283,253

40.70%

(19.69%)

TOTAL 15-12 REFUSE

2,936,141

3,116,296

3,414,058

100.00%

3,152,764

100.00%

(7.65%)


146


image

Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 15-13 RECYCLE


FUND: 404 - SOLID WASTE

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

72,967

90,881

93,829

56.13%

94,702

56.36%

0.93%

14-01 OVERTIME

11,858

26,916

12,000

7.18%

12,000

7.14%

0.00%

15-01 SPECIAL PAY

500

800

1,200

0.72%

1,200

0.71%

0.00%

21-01 FICA TAXES

6,295

9,103

7,389

4.42%

7,885

4.69%

6.71%

22-01 RETIREMENT CONTRIBUTIONS

18,100

15,905

15,408

9.22%

18,154

10.80%

17.82%

23-01 GROUP HEALTH INSURANCE

16,452

21,658

28,696

17.17%

24,758

14.73%

(13.72%)

24-01 WORKERS COMPENSATION

8,668

8,790

8,648

5.17%

7,638

4.55%

(11.68%)

28-01 OTHER EMPLOYEE BENEFITS

-

946

-

0.00%

1,691

1.01%

100.00%

TOTAL PERSONNEL SERVICES

134,840

174,999

167,170

48.94%

168,028

38.80%

0.51%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

7,000

-

20,000

11.47%

120,000

45.28%

500.00%

41-01 COMMUNICATIONS SERVICES

223

195

-

0.00%

-

0.00%

0.00%

43-01 UTILITY SERVICES

975

946

1,200

0.69%

1,200

0.45%

0.00%

45-01 INSURANCE

4,061

4,261

2,986

1.71%

2,866

1.08%

(4.02%)

46-01 REPAIR & MAINT SERVICES

117,333

118,963

134,056

76.85%

125,525

47.37%

(6.36%)

47-01 PRINTING & BINDING

-

305

1,000

0.57%

-

0.00%

(100.00%)

51-01 OFFICE SUPPLIES

206

121

200

0.11%

400

0.15%

100.00%

52-01 OPERATING SUPPLIES

19,502

14,290

15,000

8.60%

15,000

5.66%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

149,300

139,080

174,442

51.06%

264,991

61.20%

51.91%

TOTAL 15-13 RECYCLE

284,140

314,080

341,612

100.00%

433,019

100.00%

26.76%


147


Titusville City Seal

CITY OF TITUSVILLE EXPENDITURE SUMMARY BY TYPE

image

FY2019 ADOPTED BUDGET 55-55 NON-DEPARTMENTAL



FUND: 404 - SOLID WASTE

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

23-04 GROUP HEALTH INSURANCE - CLINIC

13,243

19,865

21,662

17.39%

21,662

17.55%

-

25-01 UNEMPLOYMENT COMPENSATION - UNEMPLOYMENT COMPENSATION

3,269

-

3,000

2.41%

1,112

0.90%

(62.93%)

28-01 OTHER EMPLOYEE BENEFITS - OPEB - HEALTH

184,825

86,359

93,651

75.17%

95,752

77.58%

2.24%

28-03 OTHER EMPLOYEE BENEFITS - OPEB - DENTAL

4,964

4,964

6,279

5.04%

4,893

3.96%

(22.07%)

TOTAL PERSONNEL SERVICES

$206,300

$111,188

$124,592

6.51%

$123,419

5.56%

(0.94%)


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES - PROFESSIONAL SERVICES

1,452

-

24,000

3.25%

24,000

2.79%

-

45-10 INSURANCE - GENERAL LIABILITY

31,135

34,218

25,004

3.39%

39,684

4.61%

58.71%

49-01 OTHER CHARGES/OBLIGATIONS - OTHER CHARGES/OBLIGATIONS

614,539

710,581

593,901

80.47%

692,871

80.51%

16.66%

49-02 OTHER CHARGES/OBLIGATIONS - MIS CHARGES

29,334

38,993

95,161

12.89%

104,032

12.09%

9.32%

49-99 OTHER CHARGES/OBLIGATIONS - RECLASS MPRB CHARGE/OBLIG

(94,336)

(126,546)

-

-

-

-

-

59-01 DEPRECIATION - GENERAL

692,833

744,092

-

-

-

-

-

99-99 OTHER USES - MISCELLANEOUS

(2,566)

-

-

-

-

-

-

TOTAL OPERATING EXPENDITURES/EXPENSES

$1,272,391

$1,401,338

$738,066

38.55%

$860,587

38.76%

16.60%


CAPITAL

64-00 MACHINERY & EQUIPMENT

-

-

75,000

21.09%

100,000

24.10%

33.33%

64-20 MACHINERY & EQUIPMENT - VEHICLES

852,101

-

280,545

78.91%

315,000

75.90%

12.28%

99-97 OTHER USES - ASSET RECLASS

(852,101)

-

-

-

-

-

-

TOTAL CAPITAL

-

-

$355,545

18.57%

$415,000

18.69%

16.72%


DEBT SERVICE

71-40 PRINCIPAL - CAPITAL LEASE PAYMENT

122,833

115,036

301,160

95.78%

201,816

86.95%

(32.99%)

72-40 INTEREST - CAPITAL LEASE EXPENSE

4,070

1,292

13,262

4.22%

30,286

13.05%

128.37%

99-98 OTHER USES - PRINCIPAL RECLASS

(112,833)

(105,036)

-

-

-

-

-

TOTAL DEBT SERVICE

$14,070

$11,292

$314,422

16.42%

$232,102

10.45%

(26.18%)


OPERATING TRANSFERS OUT

13-01 INTERFUND TRANSFER - GEN'L CONSTRUCTION

-

100,000

-

-

-

-

-

15-11 INTERFUND TRANSFER - PARTIALLY SELF INSURED

114,522

38,746

-

-

-

-

-

TOTAL OPERATING TRANSFERS OUT

$114,522

$138,746

-

-

-

-

-


FUND BALANCE ALLOCATION

10-01 CONTINGENCY UNRESERVED - CURRENT YEAR UNRESERVED

-

-

381,948

100.00%

588,905

100.00%

54.18%

TOTAL FUND BALANCE ALLOCATION

-

-

$381,948

19.95%

$588,905

26.53%

54.18%

TOTAL FUND: 404 - SOLID WASTE

$1,607,284

$1,662,563

$1,914,573

100.00% $2,220,013

100.00%

15.95%


148


Titusville City Seal

Departmental Capital Outlay Schedule Fiscal Year 2019




Fund/Dept


Dept Name


Account Number


Project


Description

Adopted Annual Budget


001/0901


Fire & Emergency Services


001-5555-580.64-00


Z01901

(40) MSA G1 SCBA air packs, (65) MSA G1 SCBA facemasks, (100) MSA composite 4500psi 45 minute SCBA bottles, (1) Scott compressor and revolair fill station (1) Fit test machine with 5 Year calibration and maintenance option (Financed)


$ 400,000

001/1707

Community Relations

001-5555-580.64-00

Z01902

Closed caption encoder bundle

$ 60,000

TOTAL FOR GENERAL FUND CURRENT OPERATIONS

$ 460,000

401/1615

Water Production

401-5555-580.64-00

Z01903

Drive Unit (6MGD Clarifier)

$ 145,000

401/1615

Water Production

401-5555-580.64-00

Z01904

Chlorine Skid

$ 44,000

TOTAL FOR WATER & SEWER FUND CURRENT OPERATIONS

$ 189,000

404/1512

Solid Waste Refuse

404-5555-580.64-00

Z01905

Dumpsters

$ 50,000

404/1512

Solid Waste Refuse

404-5555-580.64-00

Z01906

Automated Carts

$ 50,000

TOTAL FOR SOLID WASTE FUND CURRENT OPERATIONS

$ 100,000

405

Municipal Marina

405-5555-580.64-00

Z01907

Mooring Attachments

$ 30,000

405

Municipal Marina

405-5555-580.64-00

Z01908

Bathroom Remodel

$ 35,000

TOTAL FOR MUNICIPAL MARINA FUND CURRENT OPERATIONS

$ 65,000

GRAND TOTAL

$ 814,000


149


Titusville City Seal

Vehicle Capital Outlay Schedule Fiscal Year 2019


Fund

Dept Name

Account Number

Project

Description

Adopted Annual Budget

001

Law Enforcement

001-5555-580.64-20

Z01914

11 Vehicles (8 Interceptors@$41,840; 3 Impalas@$24,849) (Lease Buyout)

$ 66,689


001


Law Enforcement


001-5555-580.64-20


Z01915

10 Vehicles (replacements of high mileage/deferred vehicles (#8256, 8405, 8409, 8411, 8438,

8496, 8521, 8434, 8360, 8443). (Financed)


$ 511,790

001

Fire & Emergency Services

001-5555-580.64-20

Z01916

2018/19 Chevrolet Traverse 4X2 Utility Vehicle with all associated equipment (Financed)

$ 36,000

001

Public Works-Facilities

001-5555-580.64-20

Z01917

2019 1/2-Ton Extended Cab Pickup-Replace Veh#2858 (Financed)

$ 25,000

001

Public Works-Streets

001-5555-580.64-20

Z01918

2019 1/2-Ton Extended Cab Pickup-Replace Veh#4709 (Financed)

$ 25,000

001

Public Works-Streets

001-5555-580.64-20

Z01919

2019 1-Ton Extended Cab Pickup-Replace Veh#5624 (Financed)

$ 40,000

001

Public Works-Streets

001-5555-580.64-20

Z01920

2019 1/2-Ton Extended Cab Pickup-Replace Veh#8031 (Financed)

$ 25,000

001

TOTAL GENERAL FUND

$ 729,479

401

Water & Sewer Utility-Field Operations

401-5555-580.64-20

Z01921

1-Ton Van-Replaces Veh#8202

$ 49,900

401

Water & Sewer Utility-Field Operations

401-5555-580.64-20

Z01922

1-Ton 4X4 Service Truck w/Utility Style Svc Body & Crane-Replaces Veh#8156

$ 71,000

401

Water & Sewer Utility-Water Reclamation

401-5555-580.64-20

Z01923

Kubota M5-091 4-WD Tractor w/Loader-Replaces '93 Ford 7740 2-WD Tractor w/Loader

$ 50,000

401

TOTAL WATER & SEWER UTILITY FUND

$ 170,900

404

Solid Waste-Refuse

404-5555-580.64-20

Z01924

2019 Front-End Loader Garbage Truck-Replace Veh#8334 (Financed)

$ 265,000

404

Solid Waste-Refuse

404-5555-580.64-20

Z01925

2019 1/2-Ton Extended Cab Pickup-Replace Veh#7994

$ 25,000

404

Solid Waste-Refuse

404-5555-580.64-20

Z01926

2019 1/2-Ton Extended Cab Pickup-Replace Veh#7988

$ 25,000

404

TOTAL SOLID WASTE FUND

$ 315,000

406

Stormwater Utility Management Fund

406-5555-580.64-20

Z01927

2019 Gradall 4100-Replace Veh#8397 (Financed)

$ 450,000

406

Stormwater Utility Management Fund

406-5555-580.64-20

Z01928

2019 3/4-Ton 4X4 Crew Cab Pickup-Replace Veh#8369

$ 40,000

406

TOTAL STORMWATER UTILITY FUND

$ 490,000

TOTAL FLEET REPLACEMENT FOR CURRENT OPERATIONS

$ 1,705,379


150


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 405 - MUNICIPAL MARINA

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


INTERGOVERNMENTAL REVENUES

331.50-00 ECONOMIC ENVIRONMENT

3,821

4,446

24,221

24.29%

-

-

(100.00%)

331.50-01 ECONOMIC ENVIRONMENT - FEMA-HURRICANE MATTHEW

-

-

75,498

75.71%

-

-

(100.00%)

335.40-01 TRANSPORTATION - MOTOR VEH TAX GENERAL

3

8

-

-

-

-

-

TOTAL INTERGOVERNMENTAL REVENUES

$3,823

$4,454

$99,719

7.22%

-

-

(100.00%)


CHARGES FOR SERVICES

347.51-06 STORE SALES - CUBE ICE

2,249

4,684

4,174

0.37%

4,200

0.34%

0.62%

347.51-12 STORE SALES - CLOTHES

6,951

8,573

9,322

0.82%

9,500

0.77%

1.91%

347.51-16 STORE SALES - MARINE SUPPLIES

24,728

16,599

18,303

1.60%

10,800

0.88%

(40.99%)

347.51-17 STORE SALES - FOOD & SODAS

10,581

13,754

13,701

1.20%

10,000

0.82%

(27.01%)

347.51-18 STORE SALES - BEER & WINE SALES

7,760

8,188

8,273

0.72%

6,000

0.49%

(27.47%)

347.51-26 STORE SALES - LAUNDRY

5,917

6,181

6,596

0.58%

7,000

0.57%

6.12%

347.52-01 DOCKAGE FEE - PERMANENT

312,214

360,377

372,001

32.56%

415,000

33.84%

11.56%

347.52-02 DOCKAGE FEE - MONTHLY

59,820

149,783

138,824

12.15%

165,000

13.45%

18.86%

347.52-05 DOCKAGE FEE - TRANSIENT

148,086

174,431

178,959

15.66%

150,000

12.23%

(16.18%)

347.52-08 DOCKAGE FEE - SLIP USAGE FEE

9,757

23,568

29,761

2.61%

30,000

2.45%

0.80%

347.52-22 DOCKAGE FEE - MOORING FIELD

20,096

20,069

21,513

1.88%

24,000

1.96%

11.56%

347.53-01 GAS & OIL - GASOLINE SALES

68,785

72,622

70,532

6.17%

80,000

6.52%

13.42%

347.53-02 GAS & OIL - DIESEL SALES

162,806

201,113

183,982

16.10%

205,000

16.71%

11.42%

347.53-03 GAS & OIL - OIL SALES

496

1,212

989

0.09%

-

-

(100.00%)

347.54-01 UTILITIES - PERMANENT ELECTRIC

50,709

57,965

53,078

4.65%

70,000

5.71%

31.88%

347.54-02 UTILITIES - TRANSIENT ELECTRIC

20,276

38,568

32,425

2.84%

40,000

3.26%

23.36%

TOTAL CHARGES FOR SERVICES

$911,230

$1,157,688

$1,142,433

82.74% $1,226,500

89.10%

7.36%


PRIOR YEAR APPROPRIATIONS

389.50-12 PRIOR YEAR APPROP - UNRESERVED PROPRIETARY

-

-

101,227

100.00%

150,000

100.00%

48.18%

TOTAL PRIOR YEAR APPROPRIATIONS

-

-

$101,227

7.33%

$150,000

10.90%

48.18%


MISCELLANEOUS REVENUES

369.90-00 MISCELLANEOUS REVENUE

6,857

3,051

-

-

-

-

-

TOTAL MISCELLANEOUS REVENUES

$6,857

$3,051

-

-

-

-

-


INTERFUND TRANSFERS IN

381.10-01 TRANSFER FROM - GENERAL FUND

60,143

65,687

25,425

68.07%

-

-

(100.00%)

381.16-04 TRANSFER FROM - O.P.E.B. TRUST FUND

-

-

11,928

31.93%

-

-

(100.00%)

TOTAL INTERFUND TRANSFERS IN

$60,143

$65,687

$37,353

2.71%

-

-

(100.00%)

TOTAL FUND: 405 - MUNICIPAL MARINA

$982,054

$1,230,880

$1,380,732

0.93% $1,376,500

1.16%

(0.31%)


151


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 405 - MUNICIPAL MARINA

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

(20,949)

-

-

-

-

-

-

13-01 TEMP SALARIES/WAGES

498

-

-

-

-

-

-

14-01 OVERTIME

67

-

-

-

-

-

-

21-01 FICA TAXES

503

-

-

-

-

-

-

22-01 RETIREMENT CONTRIBUTIONS

27,152

-

-

-

-

-

-

23-01 GROUP HEALTH INSURANCE

1,731

-

-

-

-

-

-

24-01 WORKERS COMPENSATION

3,112

-

-

-

-

-

-

25-01 UNEMPLOYMENT COMPENSATION

3,201

-

-

-

-

-

-

28-01 OTHER EMPLOYEE BENEFITS

57,277

24,118

25,425

100.00%

26,800

87.50%

5.41%

29-01 OTHER PERSONNEL SVCS

3,845

2,308

-

-

3,828

12.50%

100.00%

TOTAL PERSONNEL SERVICES

$76,437

$26,427

$25,425

1.84%

$30,628

2.23%

20.46%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

323,089

365,892

405,000

43.21%

487,639

44.96%

20.40%

35-01 INVESTIGATIONS

34

-

300

0.03%

300

0.03%

-

40-01 TRAVEL & PER DIEM

2,399

4,414

4,800

0.51%

6,000

0.55%

25.00%

41-01 COMMUNICATIONS SERVICES

4,561

6,211

5,520

0.59%

6,020

0.56%

9.06%

42-01 FREIGHT & POSTAGE SERVICE

30

-

240

0.03%

240

0.02%

-

43-01 UTILITY SERVICES

77,797

93,945

87,600

9.35%

116,000

10.70%

32.42%

44-01 RENTALS & LEASES

190

2,850

2,400

0.26%

2,400

0.22%

-

45-01 INSURANCE

33,927

33,531

20,949

2.24%

23,044

2.12%

10.00%

46-01 REPAIR & MAINT SERVICES

15,367

4,227

3,200

0.34%

3,200

0.30%

-

47-01 PRINTING & BINDING

2

-

-

-

-

-

-

48-01 PROMOTIONAL ACTIVITIES

10,298

5,997

9,600

1.02%

12,000

1.11%

25.00%

49-01 OTHER CHARGES/OBLIGATIONS

160,862

137,099

78,915

8.42%

82,996

7.65%

5.17%

51-01 OFFICE SUPPLIES

3,466

3,780

3,000

0.32%

3,000

0.28%

-

52-01 OPERATING SUPPLIES

268,707

340,357

315,752

33.69%

341,759

31.51%

8.24%

59-01 DEPRECIATION

163,739

165,394

-

-

-

-

-

99-99 OTHER USES

(11,084)

-

-

-

-

-

-

TOTAL OPERATING EXPENDITURES/EXPENSES

$1,053,384

$1,163,697

$937,276

67.88%

$1,084,598

78.79%

15.72%


CAPITAL

64-00 MACHINERY & EQUIPMENT

-

-

42,000

24.25%

65,000

100.00%

54.76%

64-10 MACHINERY & EQUIPMENT

8,381

-

-

-

-

-

-

65-00 CONSTRUCTION IN PROGRESS

-

50,000

131,228

75.75%

-

-

(100.00%)

99-20 OTHER USES

-

(50,000)

-

-

-

-

-

99-97 OTHER USES

(8,381)

-

-

-

-

-

-

TOTAL CAPITAL

-

-

$173,228

12.55%

$65,000

4.72%

(62.48%)


DEBT SERVICE

71-99 PRINCIPAL

-

22,586

25,278

98.35%

-

-

(100.00%)

72-99 INTEREST

-

974

425

1.65%

-

-

(100.00%)

99-98 OTHER USES

(130,988)

(159,132)

-

-

-

-

-

TOTAL DEBT SERVICE

($130,988)

($135,573)

$25,703

1.86%

-

-

(100.00%)


152


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 405 - MUNICIPAL MARINA

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


FUND BALANCE ALLOCATION

10-01 WORKING CAPITAL - CURRENT YEAR UNRESERVED

-

-

219,100

100.00%

196,274

100.00%

(10.42%)

TOTAL FUND BALANCE ALLOCATION

-

-

$219,100

15.87%

$196,274

14.26%

(10.42%)

TOTAL FUND: 405 - MUNICIPAL MARINA

$998,833

$1,054,551

$1,380,732

0.90%

$1,376,500

1.14%

(0.31%)


153


image

Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 10-01 MARINA


FUND: 405 - MUNICIPAL MARINA

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

(20,949)

-

-

-

0.00%

0.00%

13-01 TEMP SALARIES/WAGES

498

-

-

-

0.00%

0.00%

14-01 OVERTIME

67

-

-

-

0.00%

0.00%

21-01 FICA TAXES

503

-

-

-

0.00%

0.00%

22-01 RETIREMENT CONTRIBUTIONS

27,152

-

-

-

0.00%

0.00%

23-01 GROUP HEALTH INSURANCE

406

-

-

-

0.00%

0.00%

24-01 WORKERS COMPENSATION

3,112

-

-

-

0.00%

0.00%

29-01 OTHER PERSONNEL SVCS

3,845

2,308

-

2,400

100.00%

100.00%

TOTAL PERSONNEL SERVICES

14,634

2,308

-

0.00%

2,400

0.24%

100.00%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

323,089

365,892

405,000

47.08%

487,639

48.50%

20.40%

35-01 INVESTIGATIONS

34

-

300

0.03%

300

0.03%

0.00%

40-01 TRAVEL & PER DIEM

2,399

4,414

4,800

0.56%

6,000

0.60%

25.00%

41-01 COMMUNICATIONS SERVICES

4,561

6,211

5,520

0.64%

6,020

0.60%

9.06%

42-01 FREIGHT & POSTAGE SERVICE

30

-

240

0.03%

240

0.02%

0.00%

43-01 UTILITY SERVICES

77,797

93,945

87,600

10.18%

116,000

11.54%

32.42%

44-01 RENTALS & LEASES

190

2,850

2,400

0.28%

2,400

0.24%

0.00%

46-01 REPAIR & MAINT SERVICES

15,367

4,227

3,200

0.37%

3,200

0.32%

0.00%

47-01 PRINTING & BINDING

2

-

-

0.00%

-

0.00%

0.00%

48-01 PROMOTIONAL ACTIVITIES

10,298

5,997

9,600

1.12%

12,000

1.19%

25.00%

49-01 OTHER CHARGES/OBLIGATIONS

26,177

25,099

22,849

2.66%

26,930

2.68%

17.86%

51-01 OFFICE SUPPLIES

3,466

3,780

3,000

0.35%

3,000

0.30%

0.00%

52-01 OPERATING SUPPLIES

268,707

340,357

315,752

36.70%

341,759

33.99%

8.24%

99-99 OTHER USES

683

-

-

0.00%

-

0.00%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

732,800

852,772

860,261

100.00%

1,005,488

99.76%

16.88%

TOTAL 10-01 MARINA

747,434

855,080

860,261

100.00%

1,007,888

100.00%

17.16%


image

154


Titusville City Seal

CITY OF TITUSVILLE EXPENDITURE SUMMARY BY TYPE

image

FY2019 ADOPTED BUDGET 55-55 NON-DEPARTMENTAL



FUND: 405 - MUNICIPAL MARINA

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

23-04 GROUP HEALTH INSURANCE - CLINIC

1,325

-

-

-

-

-

-

25-01 UNEMPLOYMENT COMPENSATION - UNEMPLOYMENT COMPENSATION

3,201

-

-

-

-

-

-

28-01 OTHER EMPLOYEE BENEFITS - OPEB - HEALTH

55,779

22,620

24,984

98.27%

25,323

89.71%

1.36%

28-03 OTHER EMPLOYEE BENEFITS - OPEB - DENTAL

1,499

1,499

441

1.73%

1,477

5.23%

234.92%

29-99 OTHER PERSONNEL SVCS - EXPENSE CREDIT - LABOR

-

-

-

-

1,428

5.06%

100.00%

TOTAL PERSONNEL SERVICES

$61,803

$24,118

$25,425

4.88%

$28,228

7.66%

11.02%


OPERATING EXPENDITURES/EXPENSES

45-10 INSURANCE - GENERAL LIABILITY

33,927

33,531

20,949

100.00%

23,044

100.00%

10.00%

49-80 OTHER CHARGES/OBLIGATIONS - BANK CHARGES

752

-

-

-

-

-

-

49-99 OTHER CHARGES/OBLIGATIONS - RECLASS MPRB CHARGE/OBLIG

(12,460)

(34,055)

-

-

-

-

-

59-01 DEPRECIATION - GENERAL

163,739

165,394

-

-

-

-

-

99-99 OTHER USES - MISCELLANEOUS

(11,766)

-

-

-

-

-

-

TOTAL OPERATING EXPENDITURES/EXPENSES

$174,192

$164,870

$20,949

4.03%

$23,044

6.25%

10.00%


CAPITAL

64-00 MACHINERY & EQUIPMENT

-

-

42,000

24.25%

65,000

100.00%

54.76%

64-10 MACHINERY & EQUIPMENT - COMPUTERS

8,381

-

-

-

-

-

-

65-00 CONSTRUCTION IN PROGRESS

-

50,000

131,228

75.75%

-

-

(100.00%)

99-20 OTHER USES - RECLASS CLOSED PROJECTS

- (50,000)

-

-

-

-

-

99-97 OTHER USES - ASSET RECLASS

(8,381)

-

-

-

-

-

-

TOTAL CAPITAL

-

-

$173,228

33.28%

$65,000

17.63%

(62.48%)


DEBT SERVICE

49-90 OTHER CHARGES/OBLIGATIONS - MPRB FUND PAYMENTS

146,392

146,055

56,066

68.57%

56,066

100.00%

-

71-99 PRINCIPAL - OTHER DEBT

-

22,586

25,278

30.91%

-

-

(100.00%)

72-99 INTEREST - OTHER DEBT

-

974

425

0.52%

-

-

(100.00%)

99-98 OTHER USES - PRINCIPAL RECLASS

(130,988)

(159,132)

-

-

-

-

-

TOTAL DEBT SERVICE

$15,404

$10,482

$81,769

15.71%

$56,066

15.21%

(31.43%)


FUND BALANCE ALLOCATION

10-01 CONTINGENCY UNRESERVED - CURRENT YEAR UNRESERVED

-

-

219,100

100.00%

196,274

100.00%

(10.42%)

TOTAL FUND BALANCE ALLOCATION

-

-

$219,100

42.10%

$196,274

53.25%

(10.42%)

TOTAL FUND: 405 - MUNICIPAL MARINA

$251,399

$199,471

$520,471

100.00%

$368,612

100.00%

(29.18%)


155


Titusville City Seal

Departmental Capital Outlay Schedule Fiscal Year 2019




Fund/Dept


Dept Name


Account Number


Project


Description

Adopted Annual Budget


001/0901


Fire & Emergency Services


001-5555-580.64-00


Z01901

(40) MSA G1 SCBA air packs, (65) MSA G1 SCBA facemasks, (100) MSA composite 4500psi 45 minute SCBA bottles, (1) Scott compressor and revolair fill station (1) Fit test machine with 5 Year calibration and maintenance option (Financed)


$ 400,000

001/1707

Community Relations

001-5555-580.64-00

Z01902

Closed caption encoder bundle

$ 60,000

TOTAL FOR GENERAL FUND CURRENT OPERATIONS

$ 460,000

401/1615

Water Production

401-5555-580.64-00

Z01903

Drive Unit (6MGD Clarifier)

$ 145,000

401/1615

Water Production

401-5555-580.64-00

Z01904

Chlorine Skid

$ 44,000

TOTAL FOR WATER & SEWER FUND CURRENT OPERATIONS

$ 189,000

404/1512

Solid Waste Refuse

404-5555-580.64-00

Z01905

Dumpsters

$ 50,000

404/1512

Solid Waste Refuse

404-5555-580.64-00

Z01906

Automated Carts

$ 50,000

TOTAL FOR SOLID WASTE FUND CURRENT OPERATIONS

$ 100,000

405

Municipal Marina

405-5555-580.64-00

Z01907

Mooring Attachments

$ 30,000

405

Municipal Marina

405-5555-580.64-00

Z01908

Bathroom Remodel

$ 35,000

TOTAL FOR MUNICIPAL MARINA FUND CURRENT OPERATIONS

$ 65,000

GRAND TOTAL

$ 814,000


156


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 406 - STORMWATER UTILITY MGMT

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


INTERGOVERNMENTAL REVENUES

335.40-01 TRANSPORTATION - MOTOR VEH TAX GENERAL

373

2,898

1,200

100.00%

1,700

100.00%

41.67%

TOTAL INTERGOVERNMENTAL REVENUES

$373

$2,898

$1,200

0.03%

$1,700

0.04%

41.67%


CHARGES FOR SERVICES

341.10-00 RECORDING FEES

17,606

41,480

-

-

24,000

0.98%

100.00%

343.90-02 PHYSICAL ENVIRONMENT - STORMWATER REVENUE

2,444,002

2,487,124

2,365,067

100.00%

2,436,000

99.02%

3.00%

TOTAL CHARGES FOR SERVICES

$2,461,608

$2,528,604

$2,365,067

59.28% $2,460,000

60.22%

4.01%


INVESTMENT EARNINGS

361.10-70 INTEREST - OPERATING - LIENS

48,736

115,039

-

-

73,000

100.00%

100.00%

361.15-10 INTEREST ON INVESTMENTS - CUSTODIAL INTEREST - PE

35,069

22,447

-

-

-

-

-

361.30-00 NET INC/DEC MARKET VALUE

(5,814)

(26,961)

-

-

-

-

-

TOTAL INVESTMENT EARNINGS

$77,991

$110,525

-

-

$73,000

1.79%

100.00%


PRIOR YEAR APPROPRIATIONS

389.50-12 PRIOR YEAR APPROP - UNRESERVED PROPRIETARY

-

-

1,600,579

100.00%

1,100,000

100.00%

(31.27%)

TOTAL PRIOR YEAR APPROPRIATIONS

-

-

$1,600,579

40.12% $1,100,000

26.93%

(31.27%)


MISCELLANEOUS REVENUES

364.10-00 DISPOSITION FIXED ASSETS

-

46,890

-

-

-

-

-

369.90-00 MISCELLANEOUS REVENUE

863

218

-

-

-

-

-

TOTAL MISCELLANEOUS REVENUES

$863

$47,108

-

-

-

-

-


INTERFUND TRANSFERS IN

381.14-08 TRANSFER FROM - STORMWATER CAPITAL

50,000

226,582

-

-

-

-

-

381.16-04 TRANSFER FROM - O.P.E.B. TRUST FUND

-

-

22,903

100.00%

-

-

(100.00%)

383.10-10 OTHER SOURCES - INSTALL PURCH PROCEEDS

-

-

-

-

450,000

100.00%

100.00%

TOTAL INTERFUND TRANSFERS IN

$50,000

$226,582

$22,903

0.57%

$450,000

11.02%

1,864.81%

TOTAL FUND: 406 - STORMWATER UTILITY MGMT

$2,590,835

$2,915,717

$3,989,749

2.67% $4,084,700

3.43%

2.38%


157


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 406 - STORMWATER UTILITY MGMT

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

442,149

483,434

586,456

57.43%

573,830

55.29%

(2.15%)

14-01 OVERTIME

47,289

54,189

50,000

4.90%

50,000

4.82%

­

15-01 SPECIAL PAY

11,620

11,829

16,500

1.62%

15,600

1.50%

(5.45%)

21-01 FICA TAXES

39,150

43,933

48,034

4.70%

46,561

4.49%

(3.07%)

22-01 RETIREMENT CONTRIBUTIONS

109,556

105,325

106,641

10.44%

113,423

10.93%

6.36%

23-01 GROUP HEALTH INSURANCE

103,082

123,677

141,221

13.83%

151,000

14.55%

6.92%

24-01 WORKERS COMPENSATION

15,077

18,812

18,170

1.78%

20,265

1.95%

11.53%

25-01 UNEMPLOYMENT COMPENSATION

-

2

-

-

-

-

­

28-01 OTHER EMPLOYEE BENEFITS

98,166

52,377

50,563

4.95%

62,231

6.00%

23.08%

29-01 OTHER PERSONNEL SVCS

3,805

2,265

3,640

0.36%

4,998

0.48%

37.31%

TOTAL PERSONNEL SERVICES

$869,892

$895,842

$1,021,225

25.60%

$1,037,908

25.41%

1.63%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

24,837

47,939

18,200

2.23%

18,200

2.32%

­

34-01 OTHER SERVICES

26,479

28,050

50,000

6.12%

50,000

6.38%

­

40-01 TRAVEL & PER DIEM

487

-

3,000

0.37%

3,000

0.38%

­

41-01 COMMUNICATIONS SERVICES

5,031

3,746

6,480

0.79%

6,000

0.77%

(7.41%)

42-01 FREIGHT & POSTAGE SERVICE

119

182

500

0.06%

500

0.06%

­

43-01 UTILITY SERVICES

15,404

17,248

15,000

1.84%

17,500

2.23%

16.67%

44-01 RENTALS & LEASES

12,525

11,991

100,000

12.24%

20,570

2.63%

(79.43%)

45-01 INSURANCE

28,547

30,973

26,439

3.23%

25,108

3.20%

(5.03%)

46-01 REPAIR & MAINT SERVICES

169,494

159,003

204,831

25.06%

177,696

22.68%

(13.25%)

47-01 PRINTING & BINDING

-

-

2,000

0.24%

2,000

0.26%

­

48-01 PROMOTIONAL ACTIVITIES

315

1,572

3,000

0.37%

3,000

0.38%

­

49-01 OTHER CHARGES/OBLIGATIONS

370,683

431,320

331,373

40.54%

403,334

51.48%

21.72%

51-01 OFFICE SUPPLIES

631

1,041

1,500

0.18%

1,500

0.19%

­

52-01 OPERATING SUPPLIES

49,599

51,228

55,000

6.73%

55,000

7.02%

­

54-01 BOOKS/PUBS/SUBS/MEMS

-

950

-

-

-

-

­

59-01 DEPRECIATION

463,813

583,104

-

-

-

-

­

99-99 OTHER USES

(7,540)

-

-

-

-

-

­

TOTAL OPERATING EXPENDITURES/EXPENSES

$1,160,424

$1,368,345

$817,323

20.49%

$783,408

19.18%

(4.15%)


CAPITAL

64-20 MACHINERY & EQUIPMENT

45,233

207,576

98,500

100.00%

490,000

100.00%

397.46%

99-97 OTHER USES

(597,873)

(2,948,494)

-

-

-

-

­

TOTAL CAPITAL

($552,640)

($2,740,918)

$98,500

2.47%

$490,000

12.00%

397.46%


DEBT SERVICE

71-40 PRINCIPAL

65,148

58,194

60,012

88.07%

145,412

86.78%

142.30%

72-99 INTEREST

2,996

9,950

8,133

11.93%

22,144

13.22%

172.27%

99-98 OTHER USES

(65,148)

(58,194)

-

-

-

-

­

TOTAL DEBT SERVICE

$2,996

$9,950

$68,145

1.71%

$167,556

4.10%

145.88%


158


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 406 - STORMWATER UTILITY MGMT

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


OPERATING TRANSFERS OUT

10-01 INTERFUND TRANSFER

123,314

125,540

118,253

10.50%

121,800

7.61%

3.00%

13-01 INTERFUND TRANSFER

-

100,000

-

-

-

-

-

14-01 INTERFUND TRANSFER

937,843

911,078

1,008,107

89.50%

1,479,088

92.39%

46.72%

15-01 INTERFUND TRANSFER

65,441

18,520

-

-

-

-

-

TOTAL OPERATING TRANSFERS OUT

$1,126,598

$1,155,138

$1,126,360

28.23%

$1,600,888

39.19%

42.13%


FUND BALANCE ALLOCATION

10-01 WORKING CAPITAL - CURRENT YEAR UNRESERVED

-

-

858,196

100.00%

4,940

100.00%

(99.42%)

TOTAL FUND BALANCE ALLOCATION

-

-

$858,196

21.51%

$4,940

0.12%

(99.42%)

TOTAL FUND: 406 - STORMWATER UTILITY MGMT

$2,607,271

$688,357

$3,989,749

2.61%

$4,084,700

3.39%

2.38%


159


image

Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 16-14 STORMWATER MANAGEMENT


FUND: 406 - STORMWATER UTILITY MGMT

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

442,149

483,434

586,456

61.33%

573,830

59.14%

(2.15%)

14-01 OVERTIME

47,289

54,189

50,000

5.23%

50,000

5.15%

0.00%

15-01 SPECIAL PAY

11,620

11,829

16,500

1.73%

15,600

1.61%

(5.45%)

21-01 FICA TAXES

39,150

43,933

48,034

5.02%

46,561

4.80%

(3.07%)

22-01 RETIREMENT CONTRIBUTIONS

109,556

105,325

106,641

11.15%

113,423

11.69%

6.36%

23-01 GROUP HEALTH INSURANCE

98,844

117,320

130,390

13.64%

140,169

14.45%

7.50%

24-01 WORKERS COMPENSATION

15,077

18,812

18,170

1.90%

20,265

2.09%

11.53%

28-01 OTHER EMPLOYEE BENEFITS

-

5,651

-

0.00%

10,383

1.07%

100.00%

29-01 OTHER PERSONNEL SVCS

3,805

2,265

-

0.00%

-

0.00%

0.00%

TOTAL PERSONNEL SERVICES

767,488

842,757

956,191

66.78%

970,231

72.32%

1.47%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

9,146

14,663

18,200

3.83%

18,200

4.90%

0.00%

34-01 OTHER SERVICES

26,479

28,050

50,000

10.51%

50,000

13.46%

0.00%

40-01 TRAVEL & PER DIEM

487

-

3,000

0.63%

3,000

0.81%

0.00%

41-01 COMMUNICATIONS SERVICES

5,031

3,746

6,480

1.36%

6,000

1.62%

(7.41%)

42-01 FREIGHT & POSTAGE SERVICE

119

182

500

0.11%

500

0.13%

0.00%

43-01 UTILITY SERVICES

15,404

17,248

15,000

3.15%

17,500

4.71%

16.67%

44-01 RENTALS & LEASES

12,525

11,991

100,000

21.02%

20,570

5.54%

(79.43%)

45-01 INSURANCE

8,243

8,648

10,134

2.13%

10,441

2.81%

3.03%

46-01 REPAIR & MAINT SERVICES

169,494

159,003

204,831

43.06%

177,696

47.84%

(13.25%)

47-01 PRINTING & BINDING

-

-

2,000

0.42%

2,000

0.54%

0.00%

48-01 PROMOTIONAL ACTIVITIES

315

1,572

3,000

0.63%

3,000

0.81%

0.00%

49-01 OTHER CHARGES/OBLIGATIONS

3,783

5,219

6,000

1.26%

6,000

1.62%

0.00%

51-01 OFFICE SUPPLIES

631

1,041

1,500

0.32%

1,500

0.40%

0.00%

52-01 OPERATING SUPPLIES

49,599

51,228

55,000

11.56%

55,000

14.81%

0.00%

54-01 BOOKS/PUBS/SUBS/MEMS

-

950

-

0.00%

-

0.00%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

301,255

303,541

475,645

33.22%

371,407

27.68%

(21.92%)

TOTAL 16-14 STORMWATER MANAGEMENT

1,068,743

1,146,298

1,431,836

100.00%

1,341,638

100.00%

(6.30%)


160


Titusville City Seal

CITY OF TITUSVILLE EXPENDITURE SUMMARY BY TYPE

image

FY2019 ADOPTED BUDGET 55-55 NON-DEPARTMENTAL



FUND: 406 - STORMWATER UTILITY MGMT

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

23-04 GROUP HEALTH INSURANCE - CLINIC

4,238

6,357

10,831

16.65%

10,831

16.00%

-

25-01 UNEMPLOYMENT COMPENSATION - UNEMPLOYMENT COMPENSATION

-

2

-

-

-

-

-

28-01 OTHER EMPLOYEE BENEFITS - OPEB - HEALTH

94,794

43,354

47,478

73.00%

48,524

71.70%

2.20%

28-03 OTHER EMPLOYEE BENEFITS - OPEB - DENTAL

3,372

3,372

3,085

4.74%

3,324

4.91%

7.75%

29-99 OTHER PERSONNEL SVCS - EXPENSE CREDIT - LABOR

-

-

3,640

5.60%

4,998

7.39%

37.31%

TOTAL PERSONNEL SERVICES

$102,404

$53,085

$65,034

2.54%

$67,677

2.47%

4.06%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES - PROFESSIONAL SERVICES

15,691

33,275

-

-

-

-

-

45-10 INSURANCE - GENERAL LIABILITY

20,305

22,325

16,305

4.77%

14,667

3.56%

(10.05%)

49-01 OTHER CHARGES/OBLIGATIONS - OTHER CHARGES/OBLIGATIONS

372,727

439,740

252,870

74.01%

318,072

77.20%

25.78%

49-02 OTHER CHARGES/OBLIGATIONS - MIS CHARGES

40,286

49,778

72,503

21.22%

79,262

19.24%

9.32%

49-04 OTHER CHARGES/OBLIGATIONS - LABORATORY SERVICES

1,374

-

-

-

-

-

-

49-99 OTHER CHARGES/OBLIGATIONS - RECLASS MPRB CHARGE/OBLIG

(47,487)

(63,417)

-

-

-

-

-

59-01 DEPRECIATION - GENERAL

463,813

583,104

-

-

-

-

-

99-99 OTHER USES - MISCELLANEOUS

(7,540)

-

-

-

-

-

-

TOTAL OPERATING EXPENDITURES/EXPENSES

$859,169

$1,064,805

$341,678

13.36%

$412,001

15.02%

20.58%


CAPITAL

64-20 MACHINERY & EQUIPMENT - VEHICLES

45,233

207,576

98,500

100.00%

490,000

100.00%

397.46%

99-97 OTHER USES - ASSET RECLASS

(597,873)

(2,948,494)

-

-

-

-

-

TOTAL CAPITAL

($552,640) ($2,740,918)

$98,500

3.85%

$490,000

17.86%

397.46%


DEBT SERVICE

71-40 PRINCIPAL - CAPITAL LEASE PAYMENT

65,148

58,194

60,012

88.07%

145,412

86.78%

142.30%

72-99 INTEREST - OTHER DEBT

2,996

9,950

8,133

11.93%

22,144

13.22%

172.27%

99-98 OTHER USES - PRINCIPAL RECLASS

(65,148)

(58,194)

-

-

-

-

-

TOTAL DEBT SERVICE

$2,996

$9,950

$68,145

2.66%

$167,556

6.11%

145.88%


OPERATING TRANSFERS OUT

10-01 INTERFUND TRANSFER - GENERAL FUND

123,314

125,540

118,253

10.50%

121,800

7.61%

3.00%

13-01 INTERFUND TRANSFER - GEN'L CONSTRUCTION

-

100,000

-

-

-

-

-

14-04 INTERFUND TRANSFER - SOLID WASTE

132,702

108,029

167,575

14.88%

170,280

10.64%

1.61%

14-08 INTERFUND TRANSFER - STORMWATER CAPITAL

805,141

803,049

840,532

74.62%

1,308,808

81.76%

55.71%

15-11 INTERFUND TRANSFER - PARTIALLY SELF INSURED

65,441

18,520

-

-

-

-

-

TOTAL OPERATING TRANSFERS OUT

$1,126,598

$1,155,138

$1,126,360

44.03% $1,600,888

58.36%

42.13%


FUND BALANCE ALLOCATION

10-01 CONTINGENCY UNRESERVED - CURRENT YEAR UNRESERVED

-

-

858,196

100.00%

4,940

100.00%

(99.42%)

TOTAL FUND BALANCE ALLOCATION

-

-

$858,196

33.55%

$4,940

0.18%

(99.42%)

TOTAL FUND: 406 - STORMWATER UTILITY MGMT

$1,538,527

($457,941) $2,557,913

100.00% $2,743,062

100.00%

7.24%


161


Titusville City Seal

Vehicle Capital Outlay Schedule Fiscal Year 2019


Fund

Dept Name

Account Number

Project

Description

Adopted Annual Budget

001

Law Enforcement

001-5555-580.64-20

Z01914

11 Vehicles (8 Interceptors@$41,840; 3 Impalas@$24,849) (Lease Buyout)

$ 66,689


001


Law Enforcement


001-5555-580.64-20


Z01915

10 Vehicles (replacements of high mileage/deferred vehicles (#8256, 8405, 8409, 8411, 8438,

8496, 8521, 8434, 8360, 8443). (Financed)


$ 511,790

001

Fire & Emergency Services

001-5555-580.64-20

Z01916

2018/19 Chevrolet Traverse 4X2 Utility Vehicle with all associated equipment (Financed)

$ 36,000

001

Public Works-Facilities

001-5555-580.64-20

Z01917

2019 1/2-Ton Extended Cab Pickup-Replace Veh#2858 (Financed)

$ 25,000

001

Public Works-Streets

001-5555-580.64-20

Z01918

2019 1/2-Ton Extended Cab Pickup-Replace Veh#4709 (Financed)

$ 25,000

001

Public Works-Streets

001-5555-580.64-20

Z01919

2019 1-Ton Extended Cab Pickup-Replace Veh#5624 (Financed)

$ 40,000

001

Public Works-Streets

001-5555-580.64-20

Z01920

2019 1/2-Ton Extended Cab Pickup-Replace Veh#8031 (Financed)

$ 25,000

001

TOTAL GENERAL FUND

$ 729,479

401

Water & Sewer Utility-Field Operations

401-5555-580.64-20

Z01921

1-Ton Van-Replaces Veh#8202

$ 49,900

401

Water & Sewer Utility-Field Operations

401-5555-580.64-20

Z01922

1-Ton 4X4 Service Truck w/Utility Style Svc Body & Crane-Replaces Veh#8156

$ 71,000

401

Water & Sewer Utility-Water Reclamation

401-5555-580.64-20

Z01923

Kubota M5-091 4-WD Tractor w/Loader-Replaces '93 Ford 7740 2-WD Tractor w/Loader

$ 50,000

401

TOTAL WATER & SEWER UTILITY FUND

$ 170,900

404

Solid Waste-Refuse

404-5555-580.64-20

Z01924

2019 Front-End Loader Garbage Truck-Replace Veh#8334 (Financed)

$ 265,000

404

Solid Waste-Refuse

404-5555-580.64-20

Z01925

2019 1/2-Ton Extended Cab Pickup-Replace Veh#7994

$ 25,000

404

Solid Waste-Refuse

404-5555-580.64-20

Z01926

2019 1/2-Ton Extended Cab Pickup-Replace Veh#7988

$ 25,000

404

TOTAL SOLID WASTE FUND

$ 315,000

406

Stormwater Utility Management Fund

406-5555-580.64-20

Z01927

2019 Gradall 4100-Replace Veh#8397 (Financed)

$ 450,000

406

Stormwater Utility Management Fund

406-5555-580.64-20

Z01928

2019 3/4-Ton 4X4 Crew Cab Pickup-Replace Veh#8369

$ 40,000

406

TOTAL STORMWATER UTILITY FUND

$ 490,000

TOTAL FLEET REPLACEMENT FOR CURRENT OPERATIONS

$ 1,705,379


162


Titusville City Seal

This page has been intentionally left blank.


163


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 501 - FLEET MANAGEMENT

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


INTERGOVERNMENTAL REVENUES

335.40-01 TRANSPORTATION - MOTOR VEH TAX GENERAL

45

279

-

-

-

-

-

TOTAL INTERGOVERNMENTAL REVENUES

$45

$279

-

-

-

-

-


CHARGES FOR SERVICES

341.20-11 INTERNAL SERVICE CHARGES - FLEET

2,551,226

2,957,983

3,119,262

100.00%

2,790,107

100.00%

(10.55%)

TOTAL CHARGES FOR SERVICES

$2,551,226

$2,957,983

$3,119,262

98.69% $2,790,107

94.67%

(10.55%)


PRIOR YEAR APPROPRIATIONS

389.50-12 PRIOR YEAR APPROP - UNRESERVED PROPRIETARY

-

-

22,545

100.00%

157,000

100.00%

596.39%

TOTAL PRIOR YEAR APPROPRIATIONS

-

-

$22,545

0.71%

$157,000

5.33%

596.39%


MISCELLANEOUS REVENUES

369.90-00 MISCELLANEOUS REVENUE

1,840

10,920

-

-

-

-

-

TOTAL MISCELLANEOUS REVENUES

$1,840

$10,920

-

-

-

-

-


INTERFUND TRANSFERS IN

381.16-04 TRANSFER FROM - O.P.E.B. TRUST FUND

-

-

18,782

100.00%

-

-

(100.00%)

TOTAL INTERFUND TRANSFERS IN

-

-

$18,782

0.59%

-

-

(100.00%)

TOTAL FUND: 501 - FLEET MANAGEMENT

$2,553,111

$2,969,182

$3,160,589

2.12% $2,947,107

2.48%

(6.75%)


164


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 501 - FLEET MANAGEMENT

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

338,275

350,057

389,726

55.53%

353,990

54.08%

(9.17%)

13-01 TEMP SALARIES/WAGES

1,049

-

-

-

-

-

-

14-01 OVERTIME

34,307

47,801

50,000

7.12%

50,000

7.64%

-

15-01 SPECIAL PAY

8,044

8,932

21,300

3.03%

7,800

1.19%

(63.38%)

21-01 FICA TAXES

29,984

32,405

33,964

4.84%

31,329

4.79%

(7.76%)

22-01 RETIREMENT CONTRIBUTIONS

70,170

61,534

69,675

9.93%

70,785

10.81%

1.59%

23-01 GROUP HEALTH INSURANCE

59,612

79,651

89,079

12.69%

83,920

12.82%

(5.79%)

24-01 WORKERS COMPENSATION

5,838

6,377

6,689

0.95%

8,158

1.25%

21.96%

25-01 UNEMPLOYMENT COMPENSATION

-

1,350

-

-

-

-

-

28-01 OTHER EMPLOYEE BENEFITS

65,198

43,387

41,432

5.90%

48,621

7.43%

17.35%

TOTAL PERSONNEL SERVICES

$612,477

$631,496

$701,865

22.21%

$654,603

22.21%

(6.73%)


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

477

-

-

-

-

-

-

40-01 TRAVEL & PER DIEM

7,838

2,716

10,792

0.47%

10,792

0.48%

-

41-01 COMMUNICATIONS SERVICES

1,814

1,469

2,159

0.09%

2,234

0.10%

3.47%

43-01 UTILITY SERVICES

12,720

13,763

18,000

0.78%

18,000

0.80%

-

45-01 INSURANCE

41,481

46,534

33,066

1.44%

30,558

1.35%

(7.58%)

46-01 REPAIR & MAINT SERVICES

15,442

20,245

29,311

1.27%

20,906

0.93%

(28.68%)

49-01 OTHER CHARGES/OBLIGATIONS

185,327

236,088

285,254

12.39%

344,810

15.27%

20.88%

51-01 OFFICE SUPPLIES

2,106

706

2,000

0.09%

2,000

0.09%

-

52-01 OPERATING SUPPLIES

1,716,437

1,912,743

1,921,100

83.47%

1,828,200

80.98%

(4.84%)

59-01 DEPRECIATION

7,270

15,175

-

-

-

-

-

99-99 OTHER USES

(30,961)

-

-

-

-

-

-

TOTAL OPERATING EXPENDITURES/EXPENSES

$1,959,948

$2,249,439

$2,301,682

72.82%

$2,257,500

76.60%

(1.92%)


CAPITAL

64-20 MACHINERY & EQUIPMENT

100,009

65,466

-

-

-

-

-

99-97 OTHER USES

(100,009)

(65,466)

-

-

-

-

-

TOTAL CAPITAL

-

-

-

-

-

-

-


OPERATING TRANSFERS OUT

13-01 INTERFUND TRANSFER

-

350,000

-

-

-

-

-

15-01 INTERFUND TRANSFER

32,721

11,154

-

-

-

-

-

TOTAL OPERATING TRANSFERS OUT

$32,721

$361,154

-

-

-

-

-


FUND BALANCE ALLOCATION

10-01 WORKING CAPITAL - CURRENT YEAR UNRESERVED

-

-

157,042

100.00%

35,004

100.00%

(77.71%)

TOTAL FUND BALANCE ALLOCATION

-

-

$157,042

4.97%

$35,004

1.19%

(77.71%)

TOTAL FUND: 501 - FLEET MANAGEMENT

$2,605,146

$3,242,089

$3,160,589

2.07%

$2,947,107

2.44%

(6.75%)


165


image

Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 15-09 FLEET MANAGEMENT


FUND: 501 - FLEET MANAGEMENT

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

338,275

350,057

389,726

59.59%

353,990

58.41%

(9.17%)

13-01 TEMP SALARIES/WAGES

1,049

-

-

0.00%

-

0.00%

0.00%

14-01 OVERTIME

34,307

47,801

50,000

7.64%

50,000

8.25%

0.00%

15-01 SPECIAL PAY

8,044

8,932

21,300

3.26%

7,800

1.29%

(63.38%)

21-01 FICA TAXES

29,984

32,405

33,964

5.19%

31,329

5.17%

(7.76%)

22-01 RETIREMENT CONTRIBUTIONS

70,170

61,534

69,675

10.65%

70,785

11.68%

1.59%

23-01 GROUP HEALTH INSURANCE

55,374

73,294

82,708

12.65%

77,549

12.80%

(6.24%)

24-01 WORKERS COMPENSATION

5,838

6,377

6,689

1.02%

8,158

1.35%

21.96%

28-01 OTHER EMPLOYEE BENEFITS

-

3,921

-

0.00%

6,430

1.06%

100.00%

TOTAL PERSONNEL SERVICES

543,040

584,322

654,062

85.47%

606,041

85.23%

(7.34%)


OPERATING EXPENDITURES/EXPENSES

40-01 TRAVEL & PER DIEM

7,838

2,716

10,792

9.70%

10,792

10.28%

0.00%

41-01 COMMUNICATIONS SERVICES

1,814

1,469

2,159

1.94%

2,234

2.13%

3.47%

43-01 UTILITY SERVICES

12,720

13,763

18,000

16.18%

18,000

17.14%

0.00%

45-01 INSURANCE

1,509

2,585

966

0.87%

1,099

1.05%

13.77%

46-01 REPAIR & MAINT SERVICES

15,442

20,245

29,311

26.35%

20,906

19.90%

(28.68%)

49-01 OTHER CHARGES/OBLIGATIONS

333

-

-

0.00%

-

0.00%

0.00%

51-01 OFFICE SUPPLIES

2,106

706

2,000

1.80%

2,000

1.90%

0.00%

52-01 OPERATING SUPPLIES

34,851

50,202

48,000

43.15%

50,000

47.60%

4.17%

TOTAL OPERATING EXPENDITURES/EXPENSES

76,612

91,686

111,228

14.53%

105,031

14.77%

(5.57%)

TOTAL 15-09 FLEET MANAGEMENT

619,652

676,008

765,290

100.00%

711,072

100.00%

(7.08%)


image

166


Titusville City Seal

CITY OF TITUSVILLE EXPENDITURE SUMMARY BY TYPE

image

FY2019 ADOPTED BUDGET 55-55 NON-DEPARTMENTAL



FUND: 501 - FLEET MANAGEMENT

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

23-04 GROUP HEALTH INSURANCE - CLINIC

4,238

6,357

6,371

13.33%

6,371

13.12%

-

25-01 UNEMPLOYMENT COMPENSATION - UNEMPLOYMENT COMPENSATION

-

1,350

-

-

-

-

-

28-01 OTHER EMPLOYEE BENEFITS - OPEB - HEALTH

61,733

36,001

38,238

79.99%

38,775

79.85%

1.40%

28-03 OTHER EMPLOYEE BENEFITS - OPEB - DENTAL

3,465

3,465

3,194

6.68%

3,416

7.03%

6.95%

TOTAL PERSONNEL SERVICES

$69,436

$47,173

$47,803

2.00%

$48,562

2.17%

1.59%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES - PROFESSIONAL SERVICES

477

-

-

-

-

-

-

45-10 INSURANCE - GENERAL LIABILITY

39,971

43,949

32,100

1.47%

29,459

1.37%

(8.23%)

49-01 OTHER CHARGES/OBLIGATIONS - OTHER CHARGES/OBLIGATIONS

175,852

219,250

200,235

9.14%

251,865

11.70%

25.78%

49-02 OTHER CHARGES/OBLIGATIONS - MIS CHARGES

39,520

49,062

85,019

3.88%

92,945

4.32%

9.32%

49-99 OTHER CHARGES/OBLIGATIONS - RECLASS MPRB CHARGE/OBLIG

(30,378)

(32,224)

-

-

-

-

-

52-01 OPERATING SUPPLIES - OPERATING SUPPLIES

5,200

(1,468)

-

-

-

-

-

52-55 OPERATING SUPPLIES - COGS - FLEET MAINTENANCE

1,676,386

1,864,009

1,873,100

85.51%

1,778,200

82.61%

(5.07%)

59-01 DEPRECIATION - GENERAL

7,270

15,175

-

-

-

-

-

99-99 OTHER USES - MISCELLANEOUS

(30,961)

-

-

-

-

-

-

TOTAL OPERATING EXPENDITURES/EXPENSES

$1,883,336

$2,157,753

$2,190,454

91.45% $2,152,469

96.26%

(1.73%)


CAPITAL

64-20 MACHINERY & EQUIPMENT - VEHICLES

100,009

65,466

-

-

-

-

-

99-97 OTHER USES - ASSET RECLASS

(100,009)

(65,466)

-

-

-

-

-

TOTAL CAPITAL

-

-

-

-

-

-

-


OPERATING TRANSFERS OUT

13-01 INTERFUND TRANSFER - GEN'L CONSTRUCTION

-

350,000

-

-

-

-

-

15-11 INTERFUND TRANSFER - PARTIALLY SELF INSURED

32,721

11,154

-

-

-

-

-

TOTAL OPERATING TRANSFERS OUT

$32,721

$361,154

-

-

-

-

-


FUND BALANCE ALLOCATION

10-01 CONTINGENCY UNRESERVED - CURRENT YEAR UNRESERVED

-

-

157,042

100.00%

35,004

100.00%

(77.71%)

TOTAL FUND BALANCE ALLOCATION

-

-

$157,042

6.56%

$35,004

1.57%

(77.71%)

TOTAL FUND: 501 - FLEET MANAGEMENT

$1,985,494

$2,566,080

$2,395,299

100.00% $2,236,035

100.00%

(6.65%)


167


Titusville City Seal

Vehicle Capital Outlay Schedule Fiscal Year 2019


Fund

Dept Name

Account Number

Project

Description

Adopted Annual Budget

001

Law Enforcement

001-5555-580.64-20

Z01914

11 Vehicles (8 Interceptors@$41,840; 3 Impalas@$24,849) (Lease Buyout)

$ 66,689


001


Law Enforcement


001-5555-580.64-20


Z01915

10 Vehicles (replacements of high mileage/deferred vehicles (#8256, 8405, 8409, 8411, 8438,

8496, 8521, 8434, 8360, 8443). (Financed)


$ 511,790

001

Fire & Emergency Services

001-5555-580.64-20

Z01916

2018/19 Chevrolet Traverse 4X2 Utility Vehicle with all associated equipment (Financed)

$ 36,000

001

Public Works-Facilities

001-5555-580.64-20

Z01917

2019 1/2-Ton Extended Cab Pickup-Replace Veh#2858 (Financed)

$ 25,000

001

Public Works-Streets

001-5555-580.64-20

Z01918

2019 1/2-Ton Extended Cab Pickup-Replace Veh#4709 (Financed)

$ 25,000

001

Public Works-Streets

001-5555-580.64-20

Z01919

2019 1-Ton Extended Cab Pickup-Replace Veh#5624 (Financed)

$ 40,000

001

Public Works-Streets

001-5555-580.64-20

Z01920

2019 1/2-Ton Extended Cab Pickup-Replace Veh#8031 (Financed)

$ 25,000

001

TOTAL GENERAL FUND

$ 729,479

401

Water & Sewer Utility-Field Operations

401-5555-580.64-20

Z01921

1-Ton Van-Replaces Veh#8202

$ 49,900

401

Water & Sewer Utility-Field Operations

401-5555-580.64-20

Z01922

1-Ton 4X4 Service Truck w/Utility Style Svc Body & Crane-Replaces Veh#8156

$ 71,000

401

Water & Sewer Utility-Water Reclamation

401-5555-580.64-20

Z01923

Kubota M5-091 4-WD Tractor w/Loader-Replaces '93 Ford 7740 2-WD Tractor w/Loader

$ 50,000

401

TOTAL WATER & SEWER UTILITY FUND

$ 170,900

404

Solid Waste-Refuse

404-5555-580.64-20

Z01924

2019 Front-End Loader Garbage Truck-Replace Veh#8334 (Financed)

$ 265,000

404

Solid Waste-Refuse

404-5555-580.64-20

Z01925

2019 1/2-Ton Extended Cab Pickup-Replace Veh#7994

$ 25,000

404

Solid Waste-Refuse

404-5555-580.64-20

Z01926

2019 1/2-Ton Extended Cab Pickup-Replace Veh#7988

$ 25,000

404

TOTAL SOLID WASTE FUND

$ 315,000

406

Stormwater Utility Management Fund

406-5555-580.64-20

Z01927

2019 Gradall 4100-Replace Veh#8397 (Financed)

$ 450,000

406

Stormwater Utility Management Fund

406-5555-580.64-20

Z01928

2019 3/4-Ton 4X4 Crew Cab Pickup-Replace Veh#8369

$ 40,000

406

TOTAL STORMWATER UTILITY FUND

$ 490,000

TOTAL FLEET REPLACEMENT FOR CURRENT OPERATIONS

$ 1,705,379


168


Titusville City Seal

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169


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 502 - INFORMATION TECHNOLOGY

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


INTERGOVERNMENTAL REVENUES

335.40-01 TRANSPORTATION - MOTOR VEH TAX GENERAL

5

25

-

-

-

-

-

TOTAL INTERGOVERNMENTAL REVENUES

$5

$25

-

-

-

-

-


CHARGES FOR SERVICES

341.20-01 INTERNAL SERVICE CHARGES - GENERAL FUND

1,409,507

1,483,334

1,284,642

56.65%

1,284,476

54.31%

(0.01%)

341.24-01 INTERNAL SERVICE CHARGES - WATER & SEWER

457,846

454,602

730,212

32.20%

804,286

34.01%

10.14%

341.24-04 INTERNAL SERVICE CHARGES - SOLID WASTE

30,261

39,920

95,161

4.20%

104,032

4.40%

9.32%

341.24-05 INTERNAL SERVICE CHARGES - MUNICIPAL MARINA

232

232

-

-

-

-

-

341.24-06 INTERNAL SERVICE CHARGES - STORMWATER UTILITY

40,749

50,241

72,503

3.20%

79,262

3.35%

9.32%

341.25-01 INTERNAL SERVICE CHARGES - FLEET MANAGEMENT

39,983

49,488

85,019

3.75%

92,945

3.93%

9.32%

341.25-02 INTERNAL SERVICE CHARGES - MIS

2,085

2,085

-

-

-

-

-

TOTAL CHARGES FOR SERVICES

$1,980,663

$2,079,901

$2,267,537

85.75% $2,365,001

56.11%

4.30%


PRIOR YEAR APPROPRIATIONS

389.50-12 PRIOR YEAR APPROP - UNRESERVED PROPRIETARY

-

-

271,958

100.00%

150,000

100.00%

(44.84%)

TOTAL PRIOR YEAR APPROPRIATIONS

-

-

$271,958

10.28%

$150,000

3.56%

(44.84%)


MISCELLANEOUS REVENUES

364.10-00 DISPOSITION FIXED ASSETS

-

42

-

-

-

-

-

TOTAL MISCELLANEOUS REVENUES

-

$42

-

-

-

-

-


INTERFUND TRANSFERS IN

381.10-01 TRANSFER FROM - GENERAL FUND

-

17,700

102,700

97.80%

-

-

(100.00%)

381.16-04 TRANSFER FROM - O.P.E.B. TRUST FUND

-

-

2,311

2.20%

-

-

(100.00%)

383.10-10 OTHER SOURCES - INSTALL PURCH PROCEEDS

-

-

-

-

1,700,000

100.00%

100.00%

TOTAL INTERFUND TRANSFERS IN

-

$17,700

$105,011

3.97% $1,700,000

40.33%

1,518.88%

TOTAL FUND: 502 - INFORMATION TECHNOLOGY

$1,980,668

$2,097,668

$2,644,506

1.77% $4,215,001

3.54%

59.39%


170


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 502 - INFORMATION TECHNOLOGY

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

418,346

433,972

430,872

69.06%

443,872

66.79%

3.02%

13-01 TEMP SALARIES/WAGES

2,746

-

-

-

-

-

-

14-01 OVERTIME

1,670

5,016

-

-

-

-

-

15-01 SPECIAL PAY

2,660

2,346

900

0.14%

2,400

0.36%

166.67%

21-01 FICA TAXES

36,684

38,782

31,729

5.09%

32,540

4.90%

2.56%

22-01 RETIREMENT CONTRIBUTIONS

85,154

78,185

78,231

12.54%

88,550

13.32%

13.19%

23-01 GROUP HEALTH INSURANCE

51,552

67,477

76,423

12.25%

83,231

12.52%

8.91%

24-01 WORKERS COMPENSATION

1,001

856

859

0.14%

815

0.12%

(5.12%)

28-01 OTHER EMPLOYEE BENEFITS

7,174

9,063

4,892

0.78%

13,213

1.99%

170.09%

TOTAL PERSONNEL SERVICES

$606,986

$635,698

$623,906

23.59%

$664,621

15.77%

6.53%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

1,159

5,038

16,000

1.40%

50,000

3.94%

212.50%

40-01 TRAVEL & PER DIEM

2,668

1,180

4,000

0.35%

4,000

0.31%

-

41-01 COMMUNICATIONS SERVICES

115,920

117,478

169,157

14.85%

173,577

13.66%

2.61%

42-01 FREIGHT & POSTAGE SERVICE

357

330

500

0.04%

500

0.04%

-

43-01 UTILITY SERVICES

4,180

4,016

3,773

0.33%

4,095

0.32%

8.53%

44-01 RENTALS & LEASES

-

-

931

0.08%

-

-

(100.00%)

45-01 INSURANCE

30,395

33,411

24,354

2.14%

23,557

1.85%

(3.27%)

46-01 REPAIR & MAINT SERVICES

507,496

630,653

662,914

58.19%

713,018

56.12%

7.56%

49-01 OTHER CHARGES/OBLIGATIONS

149,589

189,853

180,694

15.86%

227,285

17.89%

25.78%

51-01 OFFICE SUPPLIES

7,442

8,122

10,000

0.88%

10,000

0.79%

-

52-01 OPERATING SUPPLIES

45,788

27,111

45,880

4.03%

43,480

3.42%

(5.23%)

54-01 BOOKS/PUBS/SUBS/MEMS

1,172

2,511

1,000

0.09%

1,000

0.08%

-

55-01 TRAINING

11,250

5,465

20,000

1.76%

20,000

1.57%

-

59-01 DEPRECIATION

355,625

350,307

-

-

-

-

-

99-99 OTHER USES

(7,197)

19

-

-

-

-

-

TOTAL OPERATING EXPENDITURES/EXPENSES

$1,225,845

$1,375,494

$1,139,203

43.08%

$1,270,512

30.14%

11.53%


CAPITAL

64-10 MACHINERY & EQUIPMENT

366,110

390,276

688,869

100.00%

1,886,000

100.00%

173.78%

99-97 OTHER USES

(221,172)

(141,457)

-

-

-

-

-

TOTAL CAPITAL

$144,939

$248,819

$688,869

26.05%

$1,886,000

44.74%

173.78%


DEBT SERVICE

71-40 PRINCIPAL

30,448

31,475

32,538

96.87%

333,744

84.73%

925.71%

72-40 INTEREST

3,140

2,113

1,051

3.13%

60,124

15.27%

5,620.65%

TOTAL DEBT SERVICE

$33,588

$33,588

$33,589

1.27%

$393,868

9.34%

1,072.61%


OPERATING TRANSFERS OUT

15-01 INTERFUND TRANSFER

32,721

8,946

-

-

-

-

-

TOTAL OPERATING TRANSFERS OUT

$32,721

$8,946

-

-

-

-

-


171


Titusville City Seal

CITY OF TITUSVILLE

image

image

image

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 502 - INFORMATION TECHNOLOGY


ACTUAL FY2016


ACTUAL FY2017

REVISED BUDGET FY2018

% OF REVISED BUDGET

FY2019 ADOPTED BUDGET

% OF PROPOSED BUDGET

% CHANGE FY2018 TO FY2019


FUND BALANCE ALLOCATION

10-01 WORKING CAPITAL - CURRENT YEAR UNRESERVED

TOTAL FUND BALANCE ALLOCATION


TOTAL FUND: 502 - INFORMATION TECHNOLOGY

-

-


$2,044,078

-

-


$2,302,545

158,939

$158,939


$2,644,506

100.00%

6.01%


1.73%

-

-


$4,215,001

-

-


3.50%

(100.00%)

(100.00%)


59.39%


172


image

Titusville City Seal

CITY OF TITUSVILLE EXPENDITURES BY TYPE FY2019 ADOPTED BUDGET 17-05 INFORMATION TECHNOLOGY


FUND: 502 - INFORMATION TECHNOLOGY

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

12-01 SALARIES/WAGES

418,346

433,972

430,872

70.18%

443,872

67.84%

3.02%

13-01 TEMP SALARIES/WAGES

2,746

-

-

0.00%

-

0.00%

0.00%

14-01 OVERTIME

1,670

5,016

-

0.00%

-

0.00%

0.00%

15-01 SPECIAL PAY

2,660

2,346

900

0.15%

2,400

0.37%

166.67%

21-01 FICA TAXES

36,684

38,782

31,729

5.17%

32,540

4.97%

2.56%

22-01 RETIREMENT CONTRIBUTIONS

85,154

78,185

78,231

12.74%

88,550

13.53%

13.19%

23-01 GROUP HEALTH INSURANCE

49,168

63,901

71,326

11.62%

78,134

11.94%

9.54%

24-01 WORKERS COMPENSATION

1,001

856

859

0.14%

815

0.12%

(5.12%)

28-01 OTHER EMPLOYEE BENEFITS

-

4,283

-

0.00%

7,949

1.21%

100.00%

TOTAL PERSONNEL SERVICES

597,428

627,342

613,917

39.65%

654,260

39.08%

6.57%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

583

5,038

16,000

1.71%

50,000

4.90%

212.50%

40-01 TRAVEL & PER DIEM

2,668

1,180

4,000

0.43%

4,000

0.39%

0.00%

41-01 COMMUNICATIONS SERVICES

115,920

117,478

169,157

18.11%

173,577

17.02%

2.61%

42-01 FREIGHT & POSTAGE SERVICE

357

330

500

0.05%

500

0.05%

0.00%

43-01 UTILITY SERVICES

4,180

4,016

3,773

0.40%

4,095

0.40%

8.53%

44-01 RENTALS & LEASES

-

-

931

0.10%

-

0.00%

(100.00%)

45-01 INSURANCE

180

189

89

0.01%

85

0.01%

(4.49%)

46-01 REPAIR & MAINT SERVICES

507,496

630,653

662,914

70.96%

713,018

69.92%

7.56%

51-01 OFFICE SUPPLIES

7,442

8,122

10,000

1.07%

10,000

0.98%

0.00%

52-01 OPERATING SUPPLIES

45,788

27,111

45,880

4.91%

43,480

4.26%

(5.23%)

54-01 BOOKS/PUBS/SUBS/MEMS

1,172

2,511

1,000

0.11%

1,000

0.10%

0.00%

55-01 TRAINING

11,250

5,465

20,000

2.14%

20,000

1.96%

0.00%

TOTAL OPERATING EXPENDITURES/EXPENSES

697,037

802,093

934,244

60.35%

1,019,755

60.92%

9.15%

TOTAL 17-05 INFORMATION TECHNOLOGY

1,294,465

1,429,435

1,548,161

100.00%

1,674,015

100.00%

8.13%


173


Titusville City Seal

CITY OF TITUSVILLE EXPENDITURE SUMMARY BY TYPE

image

FY2019 ADOPTED BUDGET 55-55 NON-DEPARTMENTAL



FUND: 502 - INFORMATION TECHNOLOGY

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


PERSONNEL SERVICES

23-04 GROUP HEALTH INSURANCE - CLINIC

2,384

3,576

5,097

51.03%

5,097

49.19%

-

28-01 OTHER EMPLOYEE BENEFITS - OPEB - HEALTH

6,050

3,656

4,010

40.14%

4,156

40.11%

3.64%

28-03 OTHER EMPLOYEE BENEFITS - OPEB - DENTAL

1,124

1,124

882

8.83%

1,108

10.69%

25.62%

TOTAL PERSONNEL SERVICES

$9,558

$8,356

$9,989

0.91%

$10,361

0.41%

3.72%


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES - PROFESSIONAL SERVICES

576

-

-

-

-

-

-

45-10 INSURANCE - GENERAL LIABILITY

30,215

33,222

24,265

11.84%

23,472

9.36%

(3.27%)

49-01 OTHER CHARGES/OBLIGATIONS - OTHER CHARGES/OBLIGATIONS

149,589

189,853

180,694

88.16%

227,285

90.64%

25.78%

59-01 DEPRECIATION - GENERAL

355,625

350,307

-

-

-

-

-

99-99 OTHER USES - MISCELLANEOUS

(7,197)

19

-

-

-

-

-

TOTAL OPERATING EXPENDITURES/EXPENSES

$528,808

$573,401

$204,959

18.69%

$250,757

9.87%

22.34%


CAPITAL

64-10 MACHINERY & EQUIPMENT - COMPUTERS

366,110

390,276

688,869

100.00%

1,886,000

100.00%

173.78%

99-97 OTHER USES - ASSET RECLASS

(221,172)

(141,457)

-

-

-

-

-

TOTAL CAPITAL

$144,939

$248,819

$688,869

62.83% $1,886,000

74.22%

173.78%


DEBT SERVICE

71-40 PRINCIPAL - CAPITAL LEASE PAYMENT

30,448

31,475

32,538

96.87%

333,744

84.73%

925.71%

72-40 INTEREST - CAPITAL LEASE EXPENSE

3,140

2,113

1,051

3.13%

60,124

15.27%

5,620.65%

TOTAL DEBT SERVICE

$33,588

$33,588

$33,589

3.06%

$393,868

15.50%

1,072.61%


OPERATING TRANSFERS OUT

15-11 INTERFUND TRANSFER - PARTIALLY SELF INSURED

32,721

8,946

-

-

-

-

-

TOTAL OPERATING TRANSFERS OUT

$32,721

$8,946

-

-

-

-

-


FUND BALANCE ALLOCATION

10-01 CONTINGENCY UNRESERVED - CURRENT YEAR UNRESERVED

-

-

158,939

100.00%

-

-

(100.00%)

TOTAL FUND BALANCE ALLOCATION

-

-

$158,939

14.50%

-

-

(100.00%)

TOTAL FUND: 502 - INFORMATION TECHNOLOGY

$749,613

$873,110

$1,096,345

100.00% $2,540,986

100.00%

131.77%


174


Titusville City Seal

Information Technology Capital Outlay Schedule Fiscal Year 2019


Dept

Dept Name

Acct Number

Project

Description

Adopted Annual Budget

1607

Water Resources

502-5555-580.64-10

Z01909

Fujitsu fi-7700 Scanner

$ 6,000

1705

IT

502-5555-580.64-10

Z01910

Replacement for ERP Software System (Financed)

$ 1,700,000

1705

IT

502-5555-580.64-10

Z01911

Computer Replacement Program - IT

$ 150,000

1705

IT

502-5555-580.64-10

Z01912

Server Replacement Program

$ 15,000

1705

IT

502-5555-580.64-10

Z01913

Network Switch Replacement Program

$ 15,000

TOTAL

$ 1,886,000


175


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 504 - SELF INSURED DENTAL

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


CHARGES FOR SERVICES

340.67-11 HEALTH INS. CITY - RETIRED DENTAL INSURANCE

47,732

50,577

51,276

14.18%

52,812

14.74%

3.00%

340.67-21 HEALTH INS. CITY - EMPLOYEE COST

208,954

209,696

211,546

58.50%

207,595

57.96%

(1.87%)

340.67-35 HEALTH INS. CITY - RETIRED EMP CITY COST

99,497

98,654

98,808

27.32%

97,776

27.30%

(1.04%)

TOTAL CHARGES FOR SERVICES

$356,183

$358,926

$361,630

64.17%

$358,183

59.58%

(0.95%)


PRIOR YEAR APPROPRIATIONS

389.50-12 PRIOR YEAR APPROP - UNRESERVED PROPRIETARY

-

-

131,916

65.33%

173,000

71.19%

31.14%

389.50-22 PRIOR YEAR APPROP - RESERVED PROPRIETARY

-

-

70,000

34.67%

70,000

28.81%

-

TOTAL PRIOR YEAR APPROPRIATIONS

-

-

$201,916

35.83%

$243,000

40.42%

20.35%


MISCELLANEOUS REVENUES

369.90-00 MISCELLANEOUS REVENUE

-

413

-

-

-

-

-

TOTAL MISCELLANEOUS REVENUES

-

$413

-

-

-

-

-

TOTAL FUND: 504 - SELF INSURED DENTAL

$356,183

$359,339

$563,546

0.38%

$601,183

0.51%

6.68%


176


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 504 - SELF INSURED DENTAL

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

37,775

39,218

38,845

12.19%

39,026

12.16%

0.47%

45-01 INSURANCE

291,974

289,465

279,782

87.81%

282,003

87.84%

0.79%

90-10 OTHER USES

(4,492)

(766)

-

-

-

-

-

99-99 OTHER USES

-

23

-

-

-

-

-

TOTAL OPERATING EXPENDITURES/EXPENSES

$325,258

$327,941

$318,627

56.54%

$321,029

53.40%

0.75%


FUND BALANCE ALLOCATION

10-01 WORKING CAPITAL - CURRENT YEAR UNRESERVED

-

-

244,919

100.00%

280,154

100.00%

14.39%

TOTAL FUND BALANCE ALLOCATION

-

-

$244,919

43.46%

$280,154

46.60%

14.39%

TOTAL FUND: 504 - SELF INSURED DENTAL

$325,258

$327,941

$563,546

0.37%

$601,183

0.50%

6.68%


177


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CITY OF TITUSVILLE

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FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 508 - LOSS FUND OTHER ACTIVITY

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


CHARGES FOR SERVICES

341.20-01 INTERNAL SERVICE CHARGES - GENERAL FUND

704,828

745,748

631,866

44.58%

633,332

44.81%

0.23%

341.21-04 INTERNAL SERVICE CHARGES - CRA

104

113

107

0.01%

756

0.05%

606.54%

341.24-01 INTERNAL SERVICE CHARGES - WATER & SEWER

588,032

637,620

504,608

35.60%

496,043

35.09%

(1.70%)

341.24-04 INTERNAL SERVICE CHARGES - SOLID WASTE

151,072

155,001

152,749

10.78%

151,386

10.71%

(0.89%)

341.24-05 INTERNAL SERVICE CHARGES - MUNICIPAL MARINA

22,212

19,790

20,949

1.48%

23,044

1.63%

10.00%

341.24-06 INTERNAL SERVICE CHARGES - STORMWATER UTILITY

43,624

49,785

42,036

2.97%

45,509

3.22%

8.26%

341.25-01 INTERNAL SERVICE CHARGES - FLEET MANAGEMENT

47,319

52,911

39,106

2.76%

38,783

2.74%

(0.83%)

341.25-02 INTERNAL SERVICE CHARGES - MIS

31,396

34,267

25,391

1.79%

24,376

1.72%

(4.00%)

341.26-01 INTERNAL SERVICE CHARGES - GENERAL EMP PENSION

100

100

200

0.01%

100

0.01%

(50.00%)

341.26-02 INTERNAL SERVICE CHARGES - P & F PENSION

100

100

200

0.01%

100

0.01%

(50.00%)

341.26-04 INTERNAL SERVICE CHARGES - OPEB

100

100

200

0.01%

100

0.01%

(50.00%)

TOTAL CHARGES FOR SERVICES

$1,588,886

$1,695,534

$1,417,412

86.83% $1,413,529

100.00%

(0.27%)


INVESTMENT EARNINGS

361.15-10 INTEREST ON INVESTMENTS - CUSTODIAL INTEREST - PE

374

(2,022)

-

-

-

-

-

361.30-00 NET INC/DEC MARKET VALUE

(33)

(102)

-

-

-

-

-

TOTAL INVESTMENT EARNINGS

$341

($2,124)

-

-

-

-

-


PRIOR YEAR APPROPRIATIONS

389.50-11 PRIOR YEAR APPROP - UNRESERVED GOVT

-

-

207,877

100.00%

-

-

(100.00%)

TOTAL PRIOR YEAR APPROPRIATIONS

-

-

$207,877

12.73%

-

-

(100.00%)


INTERFUND TRANSFERS IN

381.15-09 TRANSFER FROM - LOSS FUND RESERVE FUND

-

-

7,123

100.00%

-

-

(100.00%)

TOTAL INTERFUND TRANSFERS IN

-

-

$7,123

0.44%

-

-

(100.00%)

TOTAL FUND: 508 - LOSS FUND OTHER ACTIVITY

$1,589,227

$1,693,410

$1,632,412

1.09% $1,413,529

1.19%

(13.41%)


178


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CITY OF TITUSVILLE

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FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 508 - LOSS FUND OTHER ACTIVITY

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

86,470

94,208

104,039

12.20%

104,774

12.56%

0.71%

45-01 INSURANCE

725,236

750,582

745,984

87.50%

727,187

87.20%

(2.52%)

58-83 MISC OPERATING

1,139

1,364

2,500

0.29%

2,000

0.24%

(20.00%)

99-99 OTHER USES

(4,896)

4,930

-

-

-

-

-

TOTAL OPERATING EXPENDITURES/EXPENSES

$807,949

$851,085

$852,523

52.22%

$833,961

59.00%

(2.18%)


OPERATING TRANSFERS OUT

15-01 INTERFUND TRANSFER

776,041

854,000

779,889

100.00%

475,000

100.00%

(39.09%)

TOTAL OPERATING TRANSFERS OUT

$776,041

$854,000

$779,889

47.78%

$475,000

33.60%

(39.09%)


FUND BALANCE ALLOCATION

10-01 WORKING CAPITAL - CURRENT YEAR UNRESERVED

-

-

-

-

104,568

100.00%

100.00%

TOTAL FUND BALANCE ALLOCATION

-

-

-

-

$104,568

7.40%

100.00%

TOTAL FUND: 508 - LOSS FUND OTHER ACTIVITY

$1,583,990

$1,705,085

$1,632,412

1.07%

$1,413,529

1.17%

(13.41%)


179


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CITY OF TITUSVILLE

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FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 509 - LOSS RESERVE FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


INVESTMENT EARNINGS

361.15-10 INTEREST ON INVESTMENTS - CUSTODIAL INTEREST - PE

13,061

9,472

-

-

-

-

-

361.30-00 NET INC/DEC MARKET VALUE

(1,194)

(4,381)

-

-

-

-

-

TOTAL INVESTMENT EARNINGS

$11,867

$5,091

-

-

-

-

-


PRIOR YEAR APPROPRIATIONS

389.50-12 PRIOR YEAR APPROP - UNRESERVED PROPRIETARY

-

-

1,070,481

100.00%

700,000

100.00%

(34.61%)

TOTAL PRIOR YEAR APPROPRIATIONS

-

-

$1,070,481

57.85%

$700,000

59.57%

(34.61%)


MISCELLANEOUS REVENUES

369.30-00 SETTLEMENTS

238,892

326,708

-

-

-

-

-

369.90-00 MISCELLANEOUS REVENUE

17,166

-

-

-

-

-

-

TOTAL MISCELLANEOUS REVENUES

$256,058

$326,708

-

-

-

-

-


INTERFUND TRANSFERS IN

381.15-08 TRANSFER FROM - LOSS PREMIUM FUND

776,041

854,000

779,889

100.00%

475,000

100.00%

(39.09%)

TOTAL INTERFUND TRANSFERS IN

$776,041

$854,000

$779,889

42.15%

$475,000

40.43%

(39.09%)

TOTAL FUND: 509 - LOSS RESERVE FUND

$1,043,966

$1,185,799

$1,850,370

1.24% $1,175,000

0.99%

(36.50%)


180


Titusville City Seal

CITY OF TITUSVILLE

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FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 509 - LOSS RESERVE FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


OPERATING EXPENDITURES/EXPENSES

45-01 INSURANCE

777,347

1,052,208

1,045,111

92.90%

1,145,000

97.45%

9.56%

46-01 REPAIR & MAINT SERVICES

29,489

58,162

79,889

7.10%

30,000

2.55%

(62.45%)

TOTAL OPERATING EXPENDITURES/EXPENSES

$806,836

$1,110,370

$1,125,000

60.80%

$1,175,000

100.00%

4.44%


OPERATING TRANSFERS OUT

15-01 INTERFUND TRANSFER

-

-

7,123

100.00%

-

-

(100.00%)

TOTAL OPERATING TRANSFERS OUT

-

-

$7,123

0.38%

-

-

(100.00%)


FUND BALANCE ALLOCATION

10-01 WORKING CAPITAL - CURRENT YEAR UNRESERVED

-

-

718,247

100.00%

-

-

(100.00%)

TOTAL FUND BALANCE ALLOCATION

-

-

$718,247

38.82%

-

-

(100.00%)

TOTAL FUND: 509 - LOSS RESERVE FUND

$806,836

$1,110,370

$1,850,370

1.21%

$1,175,000

0.97%

(36.50%)


181


Titusville City Seal

CITY OF TITUSVILLE

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FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 510 - FULLY INSURED INSURANCE

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


CHARGES FOR SERVICES

340.67-10 HEALTH INS. CITY - RETIRED EMP

29,764

53,136

46,618

5.43%

59,856

6.61%

28.40%

340.67-30 HEALTH INS. CITY - LIFE INSURANCE PREMIUM

65,734

68,516

61,646

7.18%

64,262

7.10%

4.24%

340.67-35 HEALTH INS. CITY - RETIRED EMP CITY COST

547,641

692,438

715,320

83.31%

741,416

81.87%

3.65%

340.67-40 HEALTH INS. CITY - RETIRED EMP LIFE INS

26,020

26,649

26,820

3.12%

26,820

2.96%

-

341.20-01 INTERNAL SERVICE CHARGES - GENERAL FUND

-

-

8,200

0.96%

13,200

1.46%

60.98%

TOTAL CHARGES FOR SERVICES

$669,159

$840,739

$858,604

94.46%

$905,554

96.28%

5.47%


PRIOR YEAR APPROPRIATIONS

389.50-12 PRIOR YEAR APPROP - UNRESERVED PROPRIETARY

-

-

50,312

100.00%

35,000

100.00%

(30.43%)

TOTAL PRIOR YEAR APPROPRIATIONS

-

-

$50,312

5.54%

$35,000

3.72%

(30.43%)

TOTAL FUND: 510 - FULLY INSURED INSURANCE

$669,159

$840,739

$908,916

0.61%

$940,554

0.79%

3.48%


182


Titusville City Seal

CITY OF TITUSVILLE

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FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 510 - FULLY INSURED INSURANCE

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

9,350

6,865

37,625

4.31%

22,733

2.65%

(39.58%)

45-01 INSURANCE

664,434

824,304

835,688

95.69%

835,012

97.35%

(0.08%)

TOTAL OPERATING EXPENDITURES/EXPENSES

$673,784

$831,169

$873,313

96.08%

$857,745

91.20%

(1.78%)


FUND BALANCE ALLOCATION

10-01 WORKING CAPITAL - CURRENT YEAR UNRESERVED

-

-

35,603

100.00%

82,809

100.00%

132.59%

TOTAL FUND BALANCE ALLOCATION

-

-

$35,603

3.92%

$82,809

8.80%

132.59%

TOTAL FUND: 510 - FULLY INSURED INSURANCE

$673,784

$831,169

$908,916

0.59%

$940,554

0.78%

3.48%


183


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 511 - PARTIALLY SELF INSURED

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


CHARGES FOR SERVICES

340.67-10 HEALTH INS. CITY - RETIRED EMP

274,857

313,102

361,643

5.90%

296,284

4.85%

(18.07%)

340.67-20 HEALTH INS. CITY - COST

2,731,678

3,267,957

4,163,949

67.98%

4,125,841

67.61%

(0.92%)

340.67-21 HEALTH INS. CITY - EMPLOYEE COST

606,882

682,380

874,549

14.28%

956,299

15.67%

9.35%

340.67-25 HEALTH INS. CITY - OPEN POSITION

132,978

195,264

-

-

-

-

-

340.67-35 HEALTH INS. CITY - RETIRED EMP CITY COST

676,539

649,524

725,498

11.84%

724,421

11.87%

(0.15%)

340.67-60 HEALTH INS. CITY - SUPPLEMENTAL FUNDING

35,099

45,283

-

-

-

-

-

TOTAL CHARGES FOR SERVICES

$4,458,033

$5,153,511

$6,125,639

83.42% $6,102,845

84.70%

(0.37%)


PRIOR YEAR APPROPRIATIONS

389.50-12 PRIOR YEAR APPROP - UNRESERVED PROPRIETARY

-

-

715,539

58.77%

500,000

45.37%

(30.12%)

389.50-22 PRIOR YEAR APPROP - RESERVED PROPRIETARY

-

-

502,038

41.23%

602,000

54.63%

19.91%

TOTAL PRIOR YEAR APPROPRIATIONS

-

-

$1,217,577

16.58% $1,102,000

15.30%

(9.49%)


MISCELLANEOUS REVENUES

369.41-00 ISL

248,549

4,613,715

-

-

-

-

-

369.90-00 MISCELLANEOUS REVENUE

45,320

132,661

-

-

-

-

-

TOTAL MISCELLANEOUS REVENUES

$293,869

$4,746,376

-

-

-

-

-


INTERFUND TRANSFERS IN

381.10-01 TRANSFER FROM - GENERAL FUND

1,063,411

359,044

-

-

-

-

-

381.11-04 TRANSFER FROM - CRA

-

1,541

-

-

-

-

-

381.14-01 TRANSFER FROM - WATER & SEWER FUND

327,205

110,091

-

-

-

-

-

381.14-04 TRANSFER FROM - SOLID WASTE

114,522

38,746

-

-

-

-

-

381.14-06 TRANSFER FROM - STORMWATER UTILITY FUND

65,441

18,520

-

-

-

-

-

381.15-01 TRANSFER FROM - FLEET MAINTENANCE

32,721

11,154

-

-

-

-

-

381.15-02 TRANSFER FROM - MIS

32,721

8,946

-

-

-

-

-

381.15-12 TRANSFER FROM - HEALTH CLINIC FUND

19,000

-

-

-

-

-

-

TOTAL INTERFUND TRANSFERS IN

$1,655,021

$548,042

-

-

-

-

-

TOTAL FUND: 511 - PARTIALLY SELF INSURED

$6,406,924

$10,447,929

$7,343,216

4.92% $7,204,845

6.06%

(1.88%)


184


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 511 - PARTIALLY SELF INSURED

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

287,324

267,939

264,059

4.67%

261,968

4.16%

(0.79%)

45-01 INSURANCE

6,157,693

9,939,330

5,386,738

95.33%

6,036,813

95.84%

12.07%

TOTAL OPERATING EXPENDITURES/EXPENSES

$6,445,018

$10,207,269

$5,650,797

76.95%

$6,298,781

87.42%

11.47%


FUND BALANCE ALLOCATION

10-01 WORKING CAPITAL - CURRENT YEAR UNRESERVED

-

-

615,539

36.37%

-

-

(100.00%)

20-01 RESERVED

-

-

1,076,880

63.63%

906,064

100.00%

(15.86%)

TOTAL FUND BALANCE ALLOCATION

-

-

$1,692,419

23.05%

$906,064

12.58%

(46.46%)

TOTAL FUND: 511 - PARTIALLY SELF INSURED

$6,445,018

$10,207,269

$7,343,216

4.80%

$7,204,845

5.97%

(1.88%)


185


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET REVENUE SUMMARY BY SOURCE



FUND: 512 - HEALTH CLINIC FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


CHARGES FOR SERVICES

341.20-01 INTERNAL SERVICE CHARGES - GENERAL FUND

104,355

156,533

203,881

64.26%

203,881

64.26%

-

341.21-04 INTERNAL SERVICE CHARGES - CRA

795

1,193

6,371

2.01%

6,371

2.01%

-

341.24-01 INTERNAL SERVICE CHARGES - WATER & SEWER

33,108

49,662

63,076

19.88%

63,076

19.88%

-

341.24-04 INTERNAL SERVICE CHARGES - SOLID WASTE

13,243

19,865

21,662

6.83%

21,662

6.83%

-

341.24-05 INTERNAL SERVICE CHARGES - MUNICIPAL MARINA

1,325

-

-

-

-

-

-

341.24-06 INTERNAL SERVICE CHARGES - STORMWATER UTILITY

4,238

6,357

10,831

3.41%

10,831

3.41%

-

341.25-01 INTERNAL SERVICE CHARGES - FLEET MANAGEMENT

4,238

6,357

6,371

2.01%

6,371

2.01%

-

341.25-02 INTERNAL SERVICE CHARGES - MIS

2,384

3,576

5,097

1.61%

5,097

1.61%

-

TOTAL CHARGES FOR SERVICES

$163,686

$243,543

$317,289

88.47%

$317,289

88.47%

-


PRIOR YEAR APPROPRIATIONS

389.50-11 PRIOR YEAR APPROP - UNRESERVED GOVT

-

-

41,332

100.00%

41,332

100.00%

-

TOTAL PRIOR YEAR APPROPRIATIONS

-

-

$41,332

11.53%

$41,332

11.53%

-

TOTAL FUND: 512 - HEALTH CLINIC FUND

$163,686

$243,543

$358,621

0.24%

$358,621

0.30%

-


186


Titusville City Seal

CITY OF TITUSVILLE

image

FY2019 ADOPTED BUDGET EXPENDITURE SUMMARY BY TYPE


FUND: 512 - HEALTH CLINIC FUND

REVISED

% OF

FY2019

% OF

% CHANGE

ACTUAL

ACTUAL

BUDGET

REVISED

ADOPTED

PROPOSED

FY2018 TO

FY2016

FY2017

FY2018

BUDGET

BUDGET

BUDGET

FY2019


OPERATING EXPENDITURES/EXPENSES

31-01 PROFESSIONAL SERVICES

212,890

215,383

207,289

65.33%

207,771

84.54%

0.23%

52-01 OPERATING SUPPLIES

71,739

72,595

110,000

34.67%

38,000

15.46%

(65.45%)

TOTAL OPERATING EXPENDITURES/EXPENSES

$284,629

$287,977

$317,289

88.47%

$245,771

68.53%

(22.54%)


OPERATING TRANSFERS OUT

15-01 INTERFUND TRANSFER

19,000

-

-

-

-

-

-

TOTAL OPERATING TRANSFERS OUT

$19,000

-

-

-

-

-

-


FUND BALANCE ALLOCATION

10-01 WORKING CAPITAL - CURRENT YEAR UNRESERVED

-

-

41,332

100.00%

112,850

100.00%

173.03%

TOTAL FUND BALANCE ALLOCATION

-

-

$41,332

11.53%

$112,850

31.47%

173.03%

TOTAL FUND: 512 - HEALTH CLINIC FUND

$303,629

$287,977

$358,621

0.23%

$358,621

0.30%

-


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