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HomeMy WebLinkAboutRes1999-064 I I I Sponsored by: Janke CITY OF SEWARD, ALASKA RESOLUTION NO. 99-064 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, ADOPTING THE WATER AND SEWER ENTERPRISE FUND BUDGET FOR THE SIX-MONTH PERIOD BEGINNING JULY 1, 1999 WHEREAS, on April 26, 1999 the City Manager submitted to the City Council a proposed budget for the City of Seward for the six-month period from July 1 through December 31,1999; and WHEREAS, the six-month budget represents a short budget during the transition period in which the City's fiscal year will change from a July 1 - June 30 fiscal year to a January 1 - December 31 fiscal year, effective January 1, 2000; NOW THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE, CITY OF SEWARD, ALASKA, that: Section 1. The Water and Sewer Enterprise Fund budget for the six-l1\onth period beginning July 1, 1999 which is attached hereto and made a part hereof by reference and which contains estimated revenues and expenses for the period July 1 - December 31, 1999, is HEREBY ADOPTED. Section 2. This resolution shall take effect July 1, 1999. PASSED AND APPROVED by the City Council of the City of Seward, Alaska, this 24th day of May, 1999. THE CITY OF SEWARD, ALASKA ~{!t,o~ CITY OF SEWARD, ALASKA RESOLUTION NO. 99-064 AYES: NOES: ABSENT: ABSTAIN: Blatchford, Callahan, Gage, King, Off Shafer, Satin None None None ATTEST: ~~~ Patriok Rcilly / City Clerk (Cit~,~"""'" ~.... ... Of Self/"#' ~ ....c.~ ......... ~~ !Iii I'~' .' ....O..:.!. ~~ ~ ...,:.~t:plY - -v;. ~ 'a! i(l#'_~\\ i. SEAL'Q lei 'I - I.. 1/ \...~~..,&.\!~W~i': " ..,~ OF ",\JW. ~"'..n'" W ATERlSEWER ENTERPRISE FUND Statement of Revenues and Expenses . and Changes in Retained Earnings For Six-Month Budget Period Ending December 31, 1999 Six-montb FY97 FY98 FY99 Budget FY99-OO Actual Actual Budget 7/1-12131/99 o;.Cbg Operating revenues: Residential 567,832 572,299 573,800 287,900 -49.8% Small General Service 118,423 134,903 138,250 66,800 . -51.7% Large General Service 273,494 244,356 243,500 129,050 -47.0% SMIC Power Sales 120,283 136,870 116,000 57,000 -50.9% Industrial Sales 110,511 122,429 130,000 70,000 -46.2% Miscellaneous 109,326 77,889 61,800 25,250 -59.1% Charges for Services 39,330 143,780 80,000 75,000 -6.3% Total operating revenues: $1,339,199 $1,432,526 $1,343,350 $711,000 -47.1% Operating expenses before depreciation: Salaries 161,900 171,086 178,268 90,038 -49.5% Employee benefits 56,713 50,085 63,027 33,473 -46.9% Purchased services 294,226 269,602 271,752 146,325 -46.2% Supplies & Maintenance 86,344 91,803 116,978 63,025 -46.1% General & Administrative 347,386 303,810 289,100 185,853 -35.7% Total Operating Expenses: $946,569 $886,386 $919,125 $518,714 -43.6% I Operating income before depreciation 392,630 546,140 424,225 192,286 -54.7% Depreciation 402,771 383,872 381,697 232,570 -39.1% Operating Income (Loss) ($10,141 ) $162,268 $42,528 ($40,284) -194.7% Non-operating revenues (expenses) Interest income 30,462 64,609 10,400 19,000 82.7% Interest expense (38,206) (36,338) (35,912) (34,292) -4.5% Loss on disposal of fixed assets (42,269) 0 0 0 0.0% Total non-operating revenues (expenses) ($50,013) $28,271 ($25,512) ($15,292) -40.1 % Income (loss) before operating transfers ($60,154) $190,539 $17,016 ($55,576) -426.6% Operating transfers (to) from other funds 0 0 0 (76,840) -100.0% Net income (loss) ($60,154) $190,539 $17,016 ($132,416) -878.2% Amortization of contributions in aid .372,913 372,908 372,909 186,454 -50.0% Increase (Decrease) in Retained Earnings $312,759 $563,447 $389,925 $54,038 -86.1% Retained earnings at beginning of year $2,139,657 $2,452,415 $3,015,863 $3,385,788 12.3% Residual equity transfers 0 0 (20,000) 0 0.0% Retained earnings at end of year Water/Sewer Undesignated 2,452,4 I 6 3,015,862 3,385,788 3,439,826 0.0% . Total Retained Earnings $2,452,416 $3,015,862 $3,385,788 $3,439,826 1.6% CITY OF SEWARD W A TERlSEWER ENTERPRISE FUND Budgeted Statement of Cash Flow For Six-Month Budget Period Ending December 31, 1999 Six-month FY99 Budget FY99-00 Budget 7/1-12/31/99 %Chg Cash is provided By (Used For): Net Income/(Loss) $17,016 ($132,416) -878.2% Add Expense Items Not Affecting Cash Depreciation 381,697 232,570 -39.1% Net Cash Provided By (Used For) Operations $398,713 $100,154 -74.9% Other Uses of Cash Debt Principal Payments 37,454 (b) 39,012 (a) 4.2% Capital Outlay 135,476 (d) 68,000 (c) -49.8% Net Increase (Decrease) in Cash $225,783 ($6,858) -103.0% (a) $39,012 represents: Dairy Hill sewer loan principal- $1,312; Lowell Point sewer lagoon loan principal- $37,700 (b) $37,454 represents: Dairy Hill sewer loan principal- $1,312; Lowell Point sewer lagoon loan principal - $36,142 (e) $68,000 represents: Equipment - $18,000; MRRF (water) - $25,000; MRRF (sewer) - $25,000 (d) $135,476 represents: Equipment - $35,476; MRRF (water) - $50,000; MRRF (sewer) - $50,000 . I I WATER AND SEWER ENTERPRISE FUND Operating and Residual Equity Transfer Budget For Six-Month Budget Period Ending December 31,1999 FY99 Budget **Six-montb Budget Operating Transfers from Other Funds o o Operating Transfers (to) Other Funds o (76,840) (a) Residual Equity Transfers-In (Out) (20,000) o Net Transfers-In (Out) ($20,000) ($76,840) (a) The City Council elected to have the Water & Sewer Enterprise Fund begin repaying $1,603,350 to the General Fund for debt that was written offby the General Fund in FY90. The intention is that in this six-month budget, $76,840 will be paid directly to the General Fund, but in subsequent budget years, the Water & Sewer Fund will pay the Capital Acquisition Fund so that these monies will not be used to fund ongoing General Fund operating costs. .. Represents six-month budget for period 7/1/99 - 12/31/99