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8. Uptown Budget for 2015UPTOWN SEWER BUDGETS The Uptown Sewer Project Fund is an enterprise fund that does not receive property tax support. User fees must pay the costs of operating the system and provide reserves for operations, major repairs and eventual replacement of system components. As was done with the 201 System, Personnel Services are increased while operation and maintenance (386) is decreased due to staff taking over the daily operation and maintenance of the system from EcoCheck. EcoCheck would still be on retainer for emergencies. Capital Outlays for 2015 includes the fund's share of the utility truck with crane. Long term debt is equal to 25% of the cost of the 2012 Improvement Project, to be paid back to the Capital Improvement Fund over 15 years. No rate increase is proposed for 2015. 29 7/24/2014 2015 Draft Budget UPTOWN SEWER FUND 612 2012 2013 2014 7/10/2014 2014 2015 Actual Actual Proposed Year -to -Date Estimated Proposed Account Description Revenue Revenue Revenue Revenue Revenue Revenue Notes: 36100 Special Assessments Other Income 36210 Interest Income 36230 Donations 36240 Insurance Refund 36250 Misc. Refunds Total Other Income 0 0 0 0 0 0 Fund Revenues Total Uptown Sewer Fund 612 184,757 18,813 19,717 9,066 19,717 19717 1 of 1 UPTOWN SEWER 238 PM 7/21/2014 UPTOWN SEWER (FUND 612) EXPENSE 2015 Draft Budget 2010 2011 2012 2013 2014 6/30/2014 2014 2015 Change Actual Actual Actual Amu it Adopted Veer -to -Date Estimated Proposed '14-95 101 Regular Wages & Salaries 1,647 61285 2,834 5,667 7,551 121 PERA Coord. Employer Contribution 106 479 205 411 566 122 FICA Employer Contribution 95 410 171 343 468 126 MEDICARE Employer Contribution 22 96 40 80 109 Total Persomel Services 1,870 7,270 3,250 6,501 8,695 19.80% Materials & Supplies 200 Office Supplies 13 21 75 50 50 203 Printed Forms & Papers 210 Operating Supplies & Equipment 82 250 250 250 221 Equipment Pants 159 Contractual Services 530 Capital Improvements other than Bldgs 129,067 540 Heavy Machinery Capital 550 Motor Vehicles Capital 325 560 Furniture & Futures 303 Engineering Services 570 Once Equipment 14,989 6.373 130,479 325 600 304 Legal Services 1,001 500 308 Other Professional Services 258 309 Software Support & Maintenance 85 311 Contractual Permit Fees 175 855 855 317 Employee Training 319 700 95 700 700 319 Other Services 46 322 Postage 334 Uoanse/CDL 185 200 200 351 Legal Notices Publishing 56 353 Sales Tax 81 361 Liab9By/Property, Insurance 55 244 46 63 65 68 fib 75 381 Utilities 243 356 331 1,757 1,500 737 1,810 1,864 385 Sewer (Pumping) 2,384 3,996 194 691 2,100 1,000 2,100 386 Operation & Maintenance 1,850 3,707 3,225 1,704 3,400 1,000 403 Improvements other than Bldg 404 Machinery& Equipment Repair 2,746 1,615 1.660 500 500 500 418 Vehicle or Equipment Leasing 420 Depreciation Expense 438 Misc Contractual 500 500 500 439 Refunds Issued Total Contractual Services 5,519 21,374 11,491 7,117 10,445 2,804 8,178 7,679 -26.48% Capital Outlays 530 Capital Improvements other than Bldgs 129,067 540 Heavy Machinery Capital 550 Motor Vehicles Capital 325 560 Furniture & Futures 570 Once Equipment 1,412 Total Capital Outlays 130,479 325 Debt Service 602 Long Tenn Debt Interest 603 Long Term Debt Principal 2.667 2,640 2,640 2,640 Total Debt Servbe 2.667 2.640 2,640 2,640 -1.01% Transfers 720 Operating Transfers 1,744 4.070 Total Transfers 1,744 4,070 Total Uptown Sewer (612) 5,519 21,374 143,886 15,827 20,680 6,054 17,619 19,638 24.08% Notes: 1. Uptowns allocation for utility buck with crane 1 of 1 UPTOWN SEWER 2:38 PM 7/21/2014