Page 66 - PowerPoint Presentation
P. 66

UTILITY FUND 500
                             Program Summary
                             Fiscal Year 2022
                                                                                                         Audited          Adopted         Revised        Proposed        FY 2022      Proposed       FY 2022       Proposed
                                                                                                         Actuals          Budget          Budget          Budget                   vs                          vs
                                                                                                         FY 2020          FY 2021         FY 2021         FY 2022        FY 2021       Adopted       FY 2021        Revised

                         REVENUES & OTHER SOURCES


                           1   Charge for Service                                                             6,052,109         5,426,589           5,459,132         5,337,455           (89,134)  -2%           (121,677)  -2%

                           2   Permits & Fees Utility                                                             344,533             268,011             268,011              342,411            74,400  28%              74,400  28%

                           3   Investment Earnings                                                                  54,995               55,853               10,000                15,000           (40,853)  -73%                5,000  50%

                           4   Contributions                                                                              -                     -                     -                    -                    -  0%                    -  0%
                           5   Donations                                                                                  -                     -                     -                    -                    -  0%                    -  0%
                           6   Misc Income                                                                          14,112               18,025               18,025                18,025                  -  0%                    -  0%


                           7 Total Revenues                                                                 6,465,748        5,768,478       5,755,168       5,712,891         (55,587)  -1%                (42,277)  -1%




                           8                GRAND TOTAL REVENUES & OTHER SOURCES                            6,465,748        5,768,478       5,755,168       5,712,891         (55,587)  -1%                (42,277)  -1%


                         EXPENSES & OTHER USES

                           9   Compensated Absences                                                               (23,027)                 9,195                 9,195                  9,195                  -  0%                    -  0%
                          10   Transfers Out                                                                      410,866             543,088             543,088             582,764            39,676  7%                39,676  7%
                          11   Taxes                                                                                      -                     -                     -                 3,930              3,930  100%                3,930  100%


                          12 Total Payroll and Related                                                         387,839            552,283          552,283          595,889          43,606  8%              43,606   8%


                          13   Capital Outlay                                                                       44,781               31,055               31,055               38,055              7,000  23%                  7,000  23%

                          14   Debt Service                                                                   1,982,542           1,031,671             288,671           1,020,857           (10,814)  -1%            732,186  254%
                          15   Leases and Rentals                                                                         -                 1,500                 1,500                 1,500                  -  0%                    -  0%
                          16   Rent & Utilities                                                                   163,781             188,328             188,328             191,297              2,969  2%                2,969  2%

                          17   Repair & Maintenance                                                               299,880             161,065             161,065             154,065             (7,000)  -4%               (7,000)  -4%
                          18   Services                                                                       2,891,836           3,478,444           3,478,444           3,487,444              9,000  0%                9,000  0%


                          19   Supplies                                                                               7,891                 7,040                 7,040                 9,540              2,500  36%                  2,500  36%
                          20   Travel & Training                                                                         165                 7,795                 7,795                 7,795                  -  0%                    -  0%
                          21 Operations and Maintenance                                                       5,390,875       4,906,898         4,163,898       4,910,553            3,655  0%             746,655    18%




                          22 SUB-TOTAL OPERATIONS and MAINTENANCE EXPENSES                                    5,778,714       5,459,181       4,716,181       5,506,442          47,261  1%                790,261   17%

                          23   Transfer out to Fund 100 General Fund                                                77,158               68,000             192,588               68,000                  -  0%           (124,588)  -65%
                          24   Transfer out to Fund 505 Utility Vehicle                                             20,000               60,000               60,000               65,000              5,000  8%                5,000  8%

                          25   Transfer out to Fund 510 Utility M&R                                                       -               30,000               30,000             350,000          320,000  1067%            320,000  1067%



                          26 Total Transfers Out and Other Uses                                                  97,158          158,000          282,588          483,000        325,000  206%            200,412   71%



                          27 SUB-TOTAL NON-OPERATING EXPENSES                                                    97,158            158,000            282,588          483,000        325,000  206%          200,412  71%


                          28                 GRAND TOTAL ALL EXPENSES & OTHER USES                            5,875,871       5,617,181         4,998,769       5,989,442        372,261  7%               990,673   20%
                         SUMMARY
                          29 EXCESS REVENUES OVER(UNDER) EXPENSES                                                589,877            151,297          756,399         (276,551)      (427,848)  -283%      (1,032,950)  -137%

                          30 FUND BALANCE, BEGINNING (Working Capital)                                        4,840,299       5,430,176       5,430,176       6,186,575        756,399   14%               756,399   14%



                          31 FUND BALANCE, ENDING (WORKING CAPITAL)                                    $   5,430,176    $   5,581,473  $   6,186,575   $   5,910,023    $    328,551     6%        $     (276,551)    -4%







                          32   Restricted/Assigned/Committed Funds                                          1,127,750        1,120,982       1,120,982            982,982       (138,000)  -12%           (138,000)  -12%

                          33 UNASSIGNED FUND BALANCE, ENDING                                           $     4,302,426  $   4,460,491  $     5,065,593  $   4,927,041   $    466,551     10%       $     (138,551)    -3%

                         RESTRICTED/ASSIGNED/COMMITTED FUNDS
                          34   Hillwood                                                                $      888,000   $      888,000  $        888,000            750,000       (138,000)  -16%         (138,000)  -16%


                          35   Deposits                                                                          239,750            232,982            232,982            232,982                -  0%                  -  0%
                          36                                                                                                                                                         -   0%                        -  0%
                          37 TOTAL RESTRICTED/ASSIGNED/COMMITTED  FUNDS                                $     1,127,750  $   1,120,982  $   1,120,982   $      982,982   $   (138,000)   -12%       $     (138,000) 62 -12%
   61   62   63   64   65   66   67   68   69   70   71