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HomeMy WebLinkAboutRes2008-110Sponsored by: Oates CI'T'Y OF SEWARD, ALASKA .... RESOLUTION 2008-110 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, ADOPTING THE WATER ENTERPRISE FUND BUDGET FOR CAi.ENDAR YEAR 2009 WHEREAS, on October 27, 2008, the City Manager submitted to the City Council a proposed budget for the City oC Seward for Calendar Year 2009; and WHEREAS, the budget was introduced at the regularly scheduled Council meeting on October 27, 2008, and work sessions were conducted and televised on October 28, October 29, and October 30, with a final non-televised work session on December 1, 2008; and WHEREAS, a public hearing was held on the proposed budget on November 24, with final adoption scheduled for December 8, 2008. NOW THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, that: ~.. Section 1. The Water Enterprise Fund budget for Calendar Year 2009 which is attached hereto and made a part hereof by reference and which contains estimated revenues and expenses for the period January 1 -December 31, 2009, is HEREBY ADOPTED, and the necessary funds arc hereby appropriated. Section 2. This resolution shall take effect immediately upon adoption. PASSED AND APPROVED by the City Council of the City of Seward, Alaska, this 8"~ day ol~December, 2008. THE CITY OF SEWARD, ALASKA _~y~_f ; Willard Dunham, Vice Mayor CITY OF SEWARD, ALASKA RESOLUTION 2008-110 AYES: Valdatta, Bardarson, Smith, Kellar, Keil, Dunham NOES: Nonc ABSENT: Corbridge ABSTAIN: None ATTEST: Jean Lewis, CMC City Clcrk (City Seal) •k~~~~` ~C~ er ~~~~ ~A ~ti ~ ~ ~ •+ •~ t ~ ~ c ~:a H ~' r .a 1 Ge '.. _ y ~ a ~~ 4 x; va N ?u a r ~` A~ .. Yyaa m+~l;ii6 Y~a~L iS,U WATER ENTERPRISE FUND Budgeted Statement of Revenues and Expenses and Changes in Retained Earnings For Fiscal Year 2009 2006 2007 2008 2009 2008-09 O eratin reve Actual ° Actual ° Budge[ Budget Variance % Change p g nue: Residential Small General Se i 365,240 363,780 370,000 370,000 0 0.0°,% rv ce Large Genera} Service 99,345 9 1 97,527 93,700 f 10,000 16,300 17.4% SMIC Sales 86, 29 I89,f0I 188,484 188,484 0 0.0% Industrial Sales 56,8!0 78,383 54,200 74,000 I9,800 36.5% Miscellaneous 152,393 126,297 150,000 16Q000 10,000 6.7ga Charges for Services 61,082 2 60,997 61,600 60,500 -I,f00 -I.8% 6 ,608 80,548 68,000 93,700 25,700 37 8% Tonal operating revenue: 984,40 996,633 985 984 1 056 684 7 . , , , 0,700 7.2% Operating expense before deprecation: S:daries & Benefits 287,783 256,240 274,575 28 },127 6 552 4$/0 2 Purchased services 188,929 215,055 343,000 243,000 , -100 000 . -29 2% Supplies&Maintenance 49,193 7$864 91,100 91,100 , 0 . O OS% Genera] & Administrative 195,906 209,451 230,567 249,280 18,713 . $ 1% Total operating expense: 72I,8I I 759,610 939,242 864,507 - 74,735 , -8.0°!0 Operating income before depreciation 262,596 237,023 46,742 I92,I77 3ILI% Depreciation 94,[92 (T; 98,547 (b) 173,392 <<; 2!2,!42 (d) 22 3% Operating income (loss) 168,404 I38,4 6 - I26,650 - I9,965 . _84,2% Non-operating revenues (expenses) Interest income I IQ399 159,048 89,000 105,000 ] g,0y° Other revenue 30,567 28,965 0 0 Interest expense 0 0 -94,020 -55,4I9 O,Owo Tonal non-operating revmuu (expense) I40,966 I88,OI3 - 5,020 49,581 $0 -I087.7°0 Eunings before transfers and contributions $309,370 $326,489 -$I3I,670 $29,6I6 -I22.5% Transfers Out -84,249 -248,910 -83,879 -83,070 -1.0°0 Transfers In 0 0 0 0 0.0% Capital contributions 0 11,879 0 0 0.0% Change in net assets $225,I2I $89,458 -$2I5,549 -$53,454 -75.2% Beginning net assets (°) $5,370,I97 $5,595,3!8 $5,684,776 $5,469,227 Ending net assets $5,595,3I8 $5,684,776 $5,469,227 $5,4I5,773 ° lies ro annual Comprehensive Annual Financial Report Of total depreciation expense, the followin€ amounts were attributable to capital assets funded with capital mnrribuuons (a~ $[7,286 or I9%; (b) $17,286 or I8%; (c) $I7,286 or IO%; (d) $32,033 or IS% CITY OF SEWARD WATER ENTERPRISE FUND Budgeted Statement of Cash Flow For Fiscal Year 2009 Beginning cash balance at l/1/08: Cash is provided by (used for): Loan payment foe LTC project (:hange in net assets Add expense items not affecting cash: Depreciation Net cash provided by (used for) operations Other uses of cash Debt principal payments Loan to GF for LTC bond reserves and project Capital outlay Net increase (decrease) in cash Estimated ending cash balance 2008 2009 2008-09 Budget Budget % Change $3,I52,29I 0 5,630 -$2I5,549 -$53,454 I73,392 2I2,I42 -$42,I57 $I64,3I8 -I29,889 -II4,07I -2,06,360 0 -220,696 (a) -84,000 (b) -$2,449,I02 -$33,753 $703,I89 $669,436 75.2% 22.3 -489.8 0.0% 6pL9% 90.6°/O (°) Ties to CAFR and includes only Warer Enterprise Fund; excludes related capital projects. See below. (a~ $220,696 represents: Equipment = $140,000; Depreciation reserve contribution = $86,696 (6) Equipment = $84,000; No Depreciation reserve fund contribution this year. CITY OF SEWARD WATER ENTERPRISE FUND Budgeted Cash versus Capital Needs For Fiscal Year 2009 2008 2009 Estimated Ending cash balance at I2/3I: $703,I89 $669,436 Cash Balance -Water Fund & Related Capital Projects (9/30/08): (Fund 70I -Water Enterprise Fund Fund 700 -Major Maintenance, Repair & Replacement Fur Fund 704 -Forest Acres/Gateway Water and Sewer Lines Fund 708 -Fire Hydrant, Phase II Fund 7I0 -Water Source Study 7I3 -Third Avenue Water Line Total Water-related Cash: SI,203,257 Capital needs listed below °# 4,OI9 Earmarked for capital budget 29,423 Earmarked for capital project 6I,9I2 Earmarked for capital project 4,272 Earmarked for capital project 45,000 Earmarked for capital project $I,347,883 Water Replace pressure station (Benson and Swetmann) $300,000 Water storage tank (LO million gallons 1,725,000 Gateway Water Tank roof replacement 575,000 Lowell Canyon Water Tank > 200K gallons 402,500 Lowell Canyon Water Tank > 400K gallons 575,000 Replacement of water lines due to aging 500,000 $4,077,500