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HomeMy WebLinkAboutRes2008-116Sponsored by: Oates ,~. CITY OF SEWARD, ALASKA RESOLUTION 2008-1 l6 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SEVVARD, ALASKA, ADOPTING THE SMALL BOAT HARBOR ENTERPRISE FUND BUDGET FOR CALENDAR YEAR 2009 WHEREAS, on October 27, 2008, the City Manager submitted to the City Council a proposed budget for the City of Seward for Calendar Year 2009; and WHEREAS, the budget was introduced at the regularly scheduled Cow~cil 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 1T RESOLVED BY THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, that: m... Section 1. The Harbor Enterprise Fund budget for Calendar Ycar 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 fiends are 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 8th day of December, 2008. THE CITY OF SF,WARD, ALASKA i i " '- " VWillard Dunham, Vice Mayor CITY OF SEWARD, ALASKA RESOLUTION 2008-116 AYES: NOES: ABSENT: ABSTAIN ATTEST: Valdatta, Bardarson, Smith, Kellar, Keil, Dunham None Corbridge None -~~ i, f~ v, l Jeai, Lewis, CMC ~ City Clerk ~waaar r~ra ~~'" ~ ~~ (City Seal) ~ ~.,, y~, a :. ,. ti, `> ,e w .~ ~~, ~~ ~., w '~ ~ .w .~ ~ .: .~ SMALL BOAT HARBOR ENTERPRISE FUND Budgeted Statement of Revenues and Expenses and Changes in Retained Earnings For Fiscal Year 2009 Operating revenue: Moorage Wharfage Boat Lift Fees Power Sales Passenger Transit Fee Rents and Leases Miscellaneous Total operating revenue 2006 2007 2008 2009 2008-09 Actual' Actual" Budget Budget Variance %Change I ,192,813 1,301,142 I ,310,400 1,324,400 37,716 67,714 21,000 55,000 75,541 89,650 89,250 89,250 201,170 201,0.18 238,000 240,000 625,536 707,824 708,925 650,000 287,760 289,824 292,796 291,893 78,529 94,714 91,150 106,450 $2,499,065 $2,75I,9I6 $2,75I,52I $2,756,993 14,000 LI°o 34,000 161.9% 0 0.0% 2,000 0.8°n -58,925 -8.3% -903 -0.3% 15,300 16.8% $ 5,472 0.2% Operating expense before depreciation: Salaries & Benefits 678,523 759,556 880,540 885,167 Purchased Services 269,077 271,047 295,250 285,900 Power for Resale 149,-193 153,327 175,000 160,000 Supplies and Maintenance 100,401 119,469 123,200 1 17,700 General and Administrative 191,-177 169,443 231,1 l8 391,824 Total operating expense: $I,388,97I $1,472,842 $I,705,I08 $I,840,591 4,627 0.54% -9,350 -3.2°io 15,000 -8.6°ro -5,500 -}.5°'0 160,706 69.5% $ I35,483 7.9% Operating income before depreciation I,I I0,094 I,279,074 1,046,413 916,402 -12.4% Depreciation 973;)71 ial 620,741 (h) 1,253,999 <<) 1,043,963 (dl 16.7% Opentingloss $I36,I23 $658,333 -$207,586 -$I27,56I -38.6% Non-operating revenue (expense) ]nteresc & ocher income 253,737 162.507 38,000 38.000 0.04'0 ]nreresc & ocher expense -322,186 -390,715 -385,376 -366.721 -4.8°% Total non-operating revenue (expense) -68,449 -228,208 -347,376 -328,72I -5.4% Income (loss) before transfers $67,674 $430,I25 -$554,962 -$456,282 -I7.8% Transfers in 0 -16.1,387 17,030 0 0.0% Capital contributions 615,018 2,147,337 36,113 0 0.0% Transfers out -288,916 -300,908 -382,929 -302.234 -2 L I Change in net users $393,776 $2,740,94I -$884,748 -$758,516 I4.3% Beginning net assets I2,5I2,424 I2,906,200 15,647,141 14,762,393 -5.7% Ending netassers(°) $I2.906.200 $I5.647.I4I $I4.762.393 $I4.003.878 -S.I% ° Ties m annual Comprehensive Annual Financial Report Of total depreciation expense, the following amounts were attributable to capital assets funded with capital contributions: (a) 510,931 or 53%; (b) $355,005 or 57%; (c) $640,942 or 5I%; (d) $556,432 or 53% CITY OF SEWARD SMALL BOAT HARBOR ENTERPRISE FUND Budgeted Statement of Cash Flow For Fiscal Year 2009 2008 Budget Beginning Cash Balance at I/I/08#: $I,37I,228 Cash is provided by (used for): Change in net assets $84,748 Estimated shortfall in passenger fees vs. budget -45,835 Add expense items not affecting cash Depreciation Net cash provided by operations Other sources (uses) of cash Transfer fm Passenger Fee fund to cover shortfall Debt principal payments Capital outlay Net increase (decrease) in cash Estimated ending cash balance: I,253,999 $323,4I6 36,I I3 -343,048 (a) -103,978 ,b~ -$87,497 I 283 73I 2009 2008-09 Budget % Change -758,5 I6 I4.3% I,043,963 -16.7% $285,448 -II.7% 46,54I (e> -359,040 ~~~ -4.7% -$78,095 $I,205,637 # Ties to CAFR and includes only Harbor Enterprise Fund; excludes related capital projects (a) $125,000 = 2000 Bond; $55,000 = 2005 Float Extension Bond; $I45,000 = 200 South Harbor Bond and $18,048 is Travelift loan reimbursement to motor pool fund. (bj $51,043 =Motor Pool contributions; $52,935 =Equipment. No MRRF contribution this year. (c) $I30,000 = 2000 Bond; $60,000 = 2005 Float Extension Bond; $I50,000 = 2006 South Harbor Bond and $ I9,040 is Travelift loan reimbursement to motor pool fund. (d) Motor Pool contributions. No equipment No MRRF contribution this year. (e) Passenger fee revenues expected lower than annual bond debt, so transfer from prior year surplus, to pay debt. CITY OF SEWARD SMALL BOAT HARBOR ENTERPRISE FUND Budgeted Cash versus Capital Needs For Fiscal Year 2009 2008 Estimated Ending cash balance at I2/3I: $ I,283,73I 2009 $ I,205,637 Cash Balance at September 30, 2008 -Harbor Fund & Related Capital Projects Fund 401 - Small Boat Harbor Uzterprise Fund $1,072,245 Fund 274 - Small Boat Harbor Expansion 423,795 F.annarked Fund 276 - Harbor Dredging 41,707 Earmarked for capital project Fund 315 -Harbor Repair and Renovation 2.41,390 Earmarked for capital project Fund 402 Major Manuenance and Kepair 353,853 Cruise ship head tax for specific use Fund 806 - Passenger Fec Bond 470,432 Earmarked for bond payments Total Harbor-related Cash: $2,603,422 Harbor ',Priority I - 300' Z ~security~ Float without slips $2,500,000 'Priority 2 - D Float replacement I,000,000 Priority 3 - Remodel harbormaster restrooms 50,000 Priority 4 - Remaining 570' Z float with slips 5,500,000 Priority 5 - East breakwater 215' addition 3,000,000 Priority 6 - J-Dock side-road pave/landscape 25,000 Priority 7 - Five-Ton hydraulic crane in NW harbor 50,000 Priority 8 - NE parking lot pave and relocate USCG 500,000 Priority 9 - A, B, C, S, G float replacement 7,700,000 Priority 10 -South Uplands pave and landscape 500,000 Priority 1 I - NE Harbor fish cleaning station 850,000 Priority I2 - ADAaccessible fvshing pier 2,600,000 $24,275,000