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HomeMy WebLinkAboutRes1999-157 . I I Sponsored by: Janke CITY OF SEWARD, ALASKA RESOLUTION 99-157 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, ADOPTING THE MOTOR POOL INTERNAL SERVICE FUND BUDGET FOR CALENDAR YEAR 2000 NOW THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, that: Section 1. The Motor Pool Internal Service Fund budget for the Calendar Year beginning January 1, 2UUU which is attached hereto and made a part hereofby reference and which contains estimated revenues and expenses for Calendar Year 2000, is HEREBY ADOPTED. Section 2. This resolution shall take effect January 1,2000. PASSED AND APPROVED by the City Council of the City of Seward, Alaska, this 22nd day of November, 1999. THE CITY OF SEWARD, ALASKA '~t "'"" (~U~) I Edgar Blatchford, Mayor AYES: NOES: ABSENT: ABSTAIN: Blatchford, Brossow, Calhoon, Clark, Orr, Shafer None King None ATTEST: ;;- ;. i(.7 ( Patrick Rei~b'~ Of SE:"" ~#. City Cler,f 8:,,'o?'pOil::!... ,<>'#~ ~ /:sJ . "'V'~~'" ~ . = :.:!S' ___ ~.. \ (City Set}): SEAL : .. : * i ! · : - . . - ... ----.- ~ "-..ah_ fIt..l i ~ d')j ;.~I\'E 1 ,\~~.....,.:, ~~ ~h.:.....l..: ....t:o~, #,;, ~. OF p..v ~,.." '."...0\\\ I I I MOTOR POOL INTERNAL SERVICE FUND Statement of Revenues, Expenses and Changes in Retained Earnings For Period Ending December 31, 2000 Operating revenues: Vehicle Rentals Total operating revenues: Operating expenses: General & Administrative Total operating expenses: Operating income before depreciation Depreciation Operating Income (Loss) Non-operating revenues (expenses) Interest income Interest expense Total non-operating revenues (expenses) Income (loss) before operating transfers Operating transfers (to) from other funds Net income (loss) Amortization of CIA Increase (decrease) in Retained Earnings Retained earnings at beginning of year Record eqnity transfer from other fnnd as CIA Budgeted Retained earnings at end of year Undesignated Total Retained Earniugs * Unaudited FY98 Actual FY99 Actual. --162,011 169,440 $162,011- ~169,440 162,011 _~Jl1l~ ~~8,82~ 15,307 _~ (24,305) ($8,998) $39,827 o $39,827 _~~43 $43,070 $86,762 129,832 _ $129,832 o o 169,440 __120,108_ ~9,332 16,665 Q2,801) ($3,136) $46,196 o $46,196 Six-month Budget 7/1-12/31/99 FYOO J!I1l1get 98~12 _ ~~1,1!l0 J98,912 ~01,180 o 0 o 0 98,912 __ 66,415_ ..132,497 7,000 __(8,223) ($1,223) $31,274 o --- $31,274 .J 9,459 _ _ _.1,622 $65,655 $129,832 o 84,363 $32,896 $279,850 279,850 312,746 $279,850 _ ~31~746= o ---- o 201,180 J)1,228 $69,95} 12,400 ----.i1l,739) ($339) $69,613 o $69,613 16,873 $86,486 312,746 o 399,232 -.33~232 -.--.--- FY99-00 %~-- 18.7% 18.7% ~-- 0.0% 0.0% 18.7% 9.3% 41.8% --- -25.6% -35.7% -89.2% 50.7% 0.0% 50.7% -13.3% 31.7% 140.9% o 0.0% 42.7% ~7% CITY OF SEWARD MOTOR POOL INTERNAL SERVICE FUND Budgeted Statement of Cash Flow For Six-Month Period Year Ending December 31, 1999 Six-month Budget FYOO FY99-00 7/1-12/31/99 Budget %Chg - Cash is provided By (Used For): Net Income/(Loss) $31,274 $69,613 122.6% Residual equity transfers 0 0 0.0% Add Expense Items Not Affecting Cash Depreciation 66,415 131,228_ 97.6% Net Cash Provided By (Used For) Operations $97,689 $200,841 105.6% Other Uses of Cash Debt Principal Payments ( 42,923)(a) (89,551)(b) 108.6% Capital Outlay 0 0 0.0% ----..- Net Increase (Decrease) in Cash $54,766 $111,290 103.2% ---~- (a) $42,923 represents: Rescue & Pumper truck - $21,155; Motor Grader - $11,414; Sand Truck - $10,354 (b) $89,551 represents: Rescue & Pumper truck - $44,006; Motor Grader - $23,966; Sand Truck - $21,579