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HomeMy WebLinkAboutRes1995-055 , . . Sponsored by: Tones CITY OF SEWARD, ALASKA RESOLUTION NO. 95-055 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, ADOPTING THE SEWARD GENERAL HOSPITAL ENTERPRISE FUND BUDGET FOR THE FISCAL YEAR BEGINNING JULY 1, 1995 WHEREAS, on April 24, 1995, the Community Hospital Board, in accordance with Seward City Code provisions, held a formal public hearing on the proposed Fiscal Year 1995 operating budget for the Seward General Hospital and subsequently approved said budget; and WHEREAS, ~ 2.30.130 of the Seward City Code requires that the proposed budget for Seward General Hospital be submitted by the Community Hospital Board to the Seward City Council for approval of total expenditures; and WHEREAS, the City Council must also determine the total amount of money to be made available from local sources for hospital purposes; and WHEREAS, the City Council conducted public hearings on the proposed Seward General Hospital budget and its regular meetings of May 8 and 22, and June 12, 1995; NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, that: Section 1. The Seward General Hospital 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 hospital revenues and expenditures for Fiscal Year 1996, is HEREBY ADOPTED. PASSED AND APPROVED BY THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, this 12th day of June, 1995. :~TY OF SEWARD, ALASKA tQ h\ (I~ Dave W. Crane, Mayor AYES: NOES: ABSENT: ABSTAIN: Anderson, Crane, Darling, Deeter, King, O'Brien, Sieminski None None None ,"'~' '~::,'J". , .~ ,", ?,...; :~."."'" . ''''", ". . ~~ '.> , 1>." " " d ., ., . . ... .. .,,$ ,-'~'" "l" (City Seal) '''~Ff;'.;:, t SEWARD GENERAL HOSPITAL SEWARD, , ALASKA PROJECTED STATEMENT OF INCOME ACTUAL ESTIMATE BUDGET CHANGE FY 94 FY 95 FY 96 FY 94/95 ---------- ---------- ---------- ---------- GROSS PATIENT REVENUE ROUTINE - ACUTE $390,200 $299,300 $491,600 64.25% ANCILLARY: INPATIENT 755,900 699,100 869,400 24.36% OUTPATIENT 2,507,500 2,320,400 2,817,300 21.41% ---------- ---------- ---------- ---------- TOTAL GROSS PATIENT REVENUE 3,653,600 3,318,800 4,178,300 25.90% REVENUE DEDUCTIONS CONTRACTUAL ADJ.-CURRENT 277,500 251,000 330,000 31.47% CONTRACTUAL ADJ.-PR YR 0 0 0 0.00% POLICY DISCOUNTS 57,900 78,700 83,700 6.35% ---------- ---------- ---------- ---------- TOTAL REVENUE DEDUCTIONS 335,400 329,700 413,700 25.48% ---------- ---------- ---------- ---------- NET PATIENT REVENUE 3,318,200 2,989,100 3,764,600 25.94% OTHER OPERATING INCOME 44,200 45,900 47,500 3.49% ---------- ---------- ---------- ---------- NET OPERATING REVENUE 3,362,400 3,035,000 3,812,100 25.60% ---------- ---------- ---------- ---------- OPERATING EXPENSE PAYROLL 1,431,500 1,499,600 1,618,900 7.96% EMPLOYEE BENEFITS 563,600 629,600 652,600 3.65% PROFESSIONAL FEES 715,300 691,900 668,600 -3.37% SUPPLIES 317,700 347,800 405,000 16.45% UTILITIES 91,400 94,200 98,500 4.56% REPAIRS 18,400 6,800 7,100 4.41% PURCHASED SERVICES 166,800 132,100 138,500 4.84% INSURANCE 148,300 130,700 137,300 5.05% RENTALS & LEASES 52,900 49,000 36,000 -26.53% DEPRECIATION & AMORT. 95,000 95,600 126,000 31.80% INTEREST 3,500 15,000 17,800 18.67% PROVISION FOR BAD DEBTS 259,800 275,700 321,300 16.54% OTHER EXPENSE 67,600 38,500 67,500 75.32% ---------- ---------- ---------- ---------- TOTAL OPERATING EXPENSE 3,931,800 4,006,500 4,295,100 7.20% ---------- ---------- ---------- ---------- INCOME FROM OPERATIONS (569,400) (971,500) (483,000) -50.28% ---------- ---------- ---------- ---------- NON OPERATING INCOME: CITY SALES TAX 501,300 520,600 550,000 5.65% REVENUE SHARING 104,400 89,000 75,700 -14.94% CLINIC REVENUE-NET 0 0 0 0.00% OTHER NON-OPERATING INCOME 12,900 77,900 6,100 -92.17% ---------- ---------- ---------- ---------- NON-OPERATING INCOME 618,600 687,500 631,800 -8.10% ---------- ---------- ---------- ---------- NET INCOME $49,200 ($284,000) $148,800 -152.39% ---------- ---------- ---------- ---------- ---------- ---------- ---------- ---------- , SEWARD GENERAL HOSPITAL SEWARD, ALASKA PROJECTED STATEMENT OF CHANGE IN CASH FY 96 ESTIMATE FY 95 BUDGET FY 96 . FINANCIAL RESOURCES: NET INCOME ADD <DEDUCT> EXP. <CR> NOT AFFECTING WORKING CAPITAL DEPRECIATION WORKING CAPITAL PROVIDED BY OPERATIONS LONG-TERM DEBT INCURRED OTHER ASSETS-NET FIXED ASSETS SOLD-NET ADDITIONS TO EQUITY TOTAL RESOURCES FINANCIAL REQUIREMENTS: PURCHASE or FIXED ASSETS CONSTRUCTION IN PROGRESS REDUCTION OF LONG-TERM DEBT DEFERRED PENSION COSTS INC <DEC> IN WORKING CAPITAL TOTAL APPLICATIONS INCREASE <DECREASE> IN CASH BEGINNING CASH ENDING CASH ($284,000) S148,800 95,600 126,000 ---------- ---------- (188,400) 274,800 200,000 0 o 0 o 0 o 0 ---------- ---------- 11,600 274,800 254,400 6,200 43,600 16,800 (311,600) ---------- 9.400 ---------- 2.200 27,100 ---------- $29,300 105,000 40,000 25,500 16,800 65,900 ---------- 253,200 ---------- 21.600 29,300 ---------- $50,900 ---------- ---------- ---------- ---------- INC <DEC> IN WORKING CAPITAL: CURRENT ASSETS ACCOUNTS RECEIVABLE INVENTORY & PREPAIDS TOTAL CURRENT LIABILITIES ACCOUNTS PAYABLE ACCRUED EXPENSES TOTAL INCREASE <DECREASE> IN WORKING CAPITAL ($412,600) 1,700 ---------- (410,900) $229,600 (192,600) ---------- 37,000 10,900 (36,400) (110,200) 7,500 ---------- ---------- (99,300) (28,900) ($311,600) $65,900 ---------- ---------- ---------- ---------- . , ASSETS CURRENT ASSETS CASH ACCOUNTS RECEIVABLE-net OTHER RECEIVABLES INVENTORY PREPAID EXPENSES TOTAL CURRENT ASSETS FIXED ASSETS: LAND BUILDINGS & IMPROVEMENTS EQUIPMENT TOTAL FIXED ASSETS ACCUMULATED DEPRECIATION NET FIXED ASSETS ~THER ASSETS TOTAL ASSETS . SEWARD GENERAL HOSPITAL SEWARD, ALASKA PROJECTED BALANCE SHEET ACTUAL FY 94 ESTIMATE BUDGET FY 95 FY 96 $27,100 i29,300 $50,900 1,024,100 96,100 925,700 84,600 0 0 126,100 114,300 121,700 3,000 16,500 (183,500) ---------- ---------- ---------- 1,264,900 856,200 914,800 6,700 6,700 6,700 225,700 225,700 235,700 1,417,700 1,672,100 1,766,100 ---------- ---------- ---------- 1,650,100 1,904,500 2,008,500 (1,003,100) (1,098,700) (1,223,700) ---------- ---------- ---------- 647,000 805,800 784,800 60,700 66,900 106,900 ---------- ---------- ---------- $1,972,600 $1,728,900 $1,806,500 ---------- ---------- ---------- ---------- ---------- ---------- SEWARD GENERAL HOSPITAL SEWARD, ALASKA PROJECTED BALANCE SHEET ACTUAL ESTIMATE BUDGET FY 94 FY 95 FY 96 -------- -------- -------- LIABILITIES AND EQUITY CURRENT LIABILITIES ACCOUNTS PAYABLE $256,500 $267,400 $231,000 ACCRUED PAYROLL/TAXES 213,500 150,000 157,500 THIRD PARTY SETTLEMENTS 0 0 0 ACCRUED OTHER EXPENSES 46,700 0 0 CURRENT PORTION LTD 29,200 25,500 26,900 ---------- ---------- ---------- TOT CURRENT LIABILITIES 545,900 442,900 415,400 DEFERRED CREDITS 277,100 260,300 243,500 LONG-TERM DEBT: NOTES PAYABLE 0 200,000 200,000 CAPITALIZED LEASES 205,100 161,500 136,000 CONTRACTS PAYABLE 0 0 0 ---------- ---------- ---------- TOTAL LONG-TERM DEBT 205,100 361 500 336,000 LESS CURRENT PORTION (29,200) (25:500) (26,900) ---------- ---------- ---------- NET LONG-TERM DEBT 175,900 336,000 309,100 ---------- ---------- ---------- TOTAL LIABILITIES 998,900 1,039,200 968,000 EQUITY FUND BALANCE 973,700 689,700 838,500 ---------- ---------- ---------- 973,700 689,700 838,500 ---------- ---------- ---------- TOTAL LIABILITIES & EQUITY $1,972,600 $1,728,900 $1,806,500 ---------- ---------- ---------- ---------- ---------- ----------