Page 32 - Saginaw FY21 Annual Budget
P. 32

CITY OF SAGINAW
                                                BUDGET HIGHLIGHTS
                                                           2020-2021



               GENERAL ESCROW FUND

                     The  General  Government  Escrow  Fund  was  created  in  FY  2014-2015  to  better  track
                       funds that are received and to be used for a specific purpose.  The types of revenues
                       budgeted in this fund are: hotel/motel tax, court technology fees, court security fees, gas
                       production proceeds, and insurance deductibles and settlements.

                     The equipment replacement for the General Fund will be accounted for in the General
                       Escrow  Fund.    The  equipment  replacement  escrow  began  in  FY  2018-2019.    The
                       annual  contribution  will  be  based  on  the  useful  life  of  the  purchased  asset  and  the
                       estimated  replacement  cost.    Funding  for  the  replacement  of  equipment  purchased
                       beginning in FY 2018-2019 will be in the equipment replacement escrow, as long as the
                       annual contribution is made.  The contribution for General Fund equipment in FY 2020-
                       2021 is $48,040.

                     Revenues are budgeted at $153,225.

                     Budgeted expenditures include $10,000 each for advertising and entertainment for the
                       “Train  and  Grain”  festival,  a  transfer  to  the  General  Fund  for  court  security  (Bailiff
                       $5,000), payment of $7,500 to Community Link for Farmer’s Market administration, and
                       insurance deductibles/repairs ($40,000).

               WATER/WASTEWATER ESCROW FUND

                     The Water/Wastewater Escrow Fund was created in FY 2014-2015 to better track funds
                       that  are  received  and  to  be  used  for  a  specific  purpose.    The  types  of  revenues
                       budgeted in this fund include water impact fees.

                     The  equipment  replacement  for  the  Enterprise  Fund  will  be  accounted  for  in  the
                       Enterprise Escrow Fund.  The equipment replacement escrow began in FY 2018-2019.
                       The annual contribution will be based on the useful life of the purchased asset and the
                       estimated  replacement  cost.    Funding  for  the  replacement  of  equipment  purchased
                       beginning in FY 2018-2019 will be in the equipment replacement escrow, as long as the
                       annual  contribution  is  made.    The  contribution  for  Enterprise  Fund  equipment  in  FY
                       2020-2021 will be $26,340.


                     $1,737,500  in  water  impact  fees  will  be  transferred  to  the  Enterprise  Fund  for  the
                       construction of the Saginaw Boulevard 16” water line phase 2 project and the northwest
                       booster pump.












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