Page 55 - CityofMansfieldFY23Budget
P. 55

City added some 30,000 residents, and in the decade of 2011 to 2020, the City added
                   another 16,000 residents.  The population growth in the last two decades has been robust.
                   The expected population increase over the next decade is 30,817 persons.


                   Capital Improvements

                             General Fund Improvements:                               $206,618,500

                             Water & Sewer Fund Improvements:                         $93,561,000

                   Most of the General Fund improvements are for the improvement of the City’s street
                   infrastructure  and facilities.  General Fund  improvements  will be funded through the
                   capital markets. The Water and Sewer Fund’s significant improvements are attributable
                   to the expansion of the water treatment plant and other infrastructure improvements. The
                   Water and Sewer Fund improvements will be funded through a combination of the capital
                   markets and cash. Impact fees are a significant resource used to offset the costs of these
                   future improvements and will be used as they are collected over the next ten years for
                   both activities.


                   Service Improvements & Operating Equipment


                          General Fund Personnel                                      $ 6,582,122


                   Management has placed a priority on funding positions for the Public Safety Department
                   in anticipation of a growing population and the future need for a sixth Fire Station. The
                   Water and Sewer Fund expects to maintain existing levels of service personnel over the
                   next decade.  Most of the  capital equipment is for the replacement and addition to the
                   Public Safety vehicle inventory. The City will work to fund operating equipment on a
                   year-by-year basis. Typically, equipment is funded at approximately $2.5M - $3M per
                   fiscal year.


                                                     General Fund FTE


                            470
                            460
                            450
                            440
                            430
                            420
                            410
                            400
                            390
                                 2023  2024  2025  2026  2027   2028  2029  2030  2031  2032


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