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HomeMy WebLinkAboutRes1995-054 , . Sponsored by: Tones CITY OF SEWARD, ALASKA RESOLUTION NO. 95-054 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, ADOPTING THE MOTOR POOL INTERNAL SERVICE FUND BUDGET FOR THE FISCAL YEAR BEGINNING JULY 1, 1995 NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, that: Section 1. The city Motor Pool Internal Service Fund budget for the fiscal year beginning July 1, 1995, which is attached hereto and made a part hereof by reference, and which contains estimated Motor Pool Internal Service Fund revenues and expenditures for Fiscal Year 1996, is HEREBY ADOPTED. Section 2. This resolution shall take effect July 1, 1995. PASSED AND APPROVED BY THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, this 12th day of June, 1995. AYES: NOES: ABSENT: ABSTAIN: ATTEST: THE CITY OF SEWARD, ALASKA NAf: V. ~ (OWA"'--' Dave W. Crane, Mayor Anderson, Crane, Darling, Deeter, King, O'Brien, Sieminski None None None . (City Seal) .\\",aa't,:t..; ~\ .:: S ,';'. 1>~_, 0.- [:/,1' '.',. ...~.ftt,..t'~ ...:..,,;" ;.:.:..~' _ ~,t'lo, to, '" .' 00 <0. \1,. .y~ .: (j ,';:0"-'" f:(.~>:",,; '~~ ~ /~v (;:"'. . ~:" :: ;..... -:- ~) ., ~~ .. . sn'" :8! l"r!JAf ",'::: w. .e:. ~_~ ~ Il.IlI Gi' . . ... ($' ... --c-. .r ,"'" ':l "0 'l.:'; '" lSl...,...v..1>c ."" /,\?," : ..~ ,~ .:'11,1'"'.1,,- -.r-'" .,,> ...~ 'ofJ>o.,:" ...1.... ~, ~.~^ ',4l'- 0;:- I'\\.\l'~." ""Ii\';"~'~ CITY OF SEWARD Motor Pool Fund Statement of Revenues, Expenses and Changes in Retained Eamings For Budget Year Ending June 30, 1996 1994 Y-T-D Thru Actual 02/95 FY95 Revised Budget FY96 Proposed Budget " Chg Fm FY95 Budget Operating Revenues: Vehicle Rentals 52,491 55,733 118,640 144,690 22.0% Total operating revenues 52,491 55,733 118,640 144,690 Operating Expenses: Before depreciation: Administration & General 0 0 0 0 0.0% Total before depreciation 0 0 0 0 Operatina Income before depreciation 52,491 55,733 118,640 144,690 22.0" Depreciation 38,440 47,208 70.811 95,332 34.6% ODerating Income (Loll) 14,051 8,525 47,829 49,358 3.2" Non-Operatlna Revenuas (Expensas): Interest Income 1,109 3,753 2,500 5,000 100.0% Interest Expense 12,346 (4,401 115,380 121,177 Total non-operatlng revenues (expenses) 11,237 (648 (12.880 (16,177 Income (lOll) before operatlna lransfel'll 12,814 7,877 34,949 33,181 -5.1 " Ooerating Transfers to (from) Other Funds 0 0 0 0 0.0% Net Income (Loll) 12,814 7,877 34,949 33,181 -5.1 " Increase (Decrease) In Retained Earninas 12,814 7,877 34,949 33,181 -5.1 " Retained Earnlnas at beginning of year 5,037 17,851 17,851 75,320 321.9% Residual Equity Transfel'llln (Out) 0 22,520 22,520 22,500 -0.1 " Retained Earnings at end of year 17,851 48,248 75,320 131,001 73.9" , . . CITY OF SEWARD Motor Pool Fund Cash Flow For Budget Year Ending June 30,1996 FY95 Y-T-D Thru 2/95 FY95 Revised Budget FY96 Proposed Budget %Chg Fm FY95 Rev. Budget Cash Is Provided Bv fUsed For\: Net Inccmne CLoss\ 7,877 34,949 33,181 -5.1% Residual EauTtv Transfers 22,520 26,000 22,500 -13.5% Lease Purchase Proceeds 0 175,000 225,000 28.6% Add EXoense Items Not Affectina Cash Deoreclatlon 47,208 70,811 95,332 34.6% Net Cash Provided Bv (Used for) Ooeratlons 77,605 306,760 376,013 22.6% Other Uses of Cash Debt PrlnciDal Pavments 11,124 30,821 89,805 191.4% Capital Outlav 174,595 226,000 247,500 9.5% Net Increase (Decrease) In Cash (108,114 49,939 38,708 -22.5%