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HomeMy WebLinkAboutRes2013-083 Sponsored by: Hunt how CITY OF SEWARD, ALASKA RESOLUTION 2013-083 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, ADOPTING THE PARKING ENTERPRISE FUND BIENNIAL BUDGET FOR CALENDAR YEARS 2014 AND 2015 WHEREAS, the City Manager has submitted to the City Council a proposed biennial budget for the City of Seward for Calendar Years 2014 and 2015; and WHEREAS, the biennial budget was reviewed by the City Council in budget work sessions on September 16, 19, and 24, 2013, which were televised to the public; and WHEREAS, a public hearing is scheduled on the proposed budget for October 28, 2013 with an additional public hearing and final adoption scheduled for November 12, 2013. NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, that: Section 1. The Parking Enterprise Fund budget for Calendar Years 2014 and 2015 which is attached hereto and made a part hereof by reference and which contains estimated revenues and expenses for the period January 1, 2014 - December 31, 2015, is HEREBY ADOPTED, and the necessary funds 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 12`x' day of November, 2013. THE CITY OF SEWARD, ALASKA an Bardarson, Mayor AYES: Keil, Shafer, Casagranda, Terry, Squires, Bardarson NOES: None ABSENT: None ABSTAIN: None VACANT: One tam CITY OF SEWARD, ALASKA RESOLUTION 2013-083 ATTEST: ..r • A A.4. -//• 1 hanna Ki y, CMC ity Clerk (City Seal) 6 • h o • Sri/ CITY OF SEWARD PARKING ENTERPRISE FUND Budgeted Statement of Cash Flow ire For 20I4 and 20I5 2013 2014 2015 Budget Budget Budget Beginning Cash Balance at 1/1/13 *: $464,389 Cash is provided by(used for): Change in net position $5,384 $24,254 $22,548 Add expense items not affecting cash Depreciation I6,757 22,969 22,969 Net cash provided by operations $22,141 $47,223 $45,517 Other uses of cash Capital outlay(a) ($13,000) (a) ($25,500) (b) ($15,500) (c) Net increase (decrease) in cash $9,141 $21,723 $30,017 Estimated ending cash balance $473,530 $495,253 $525,270 (°) Ties to Comprehensive Annual Financial Report (a) $I3K motor pool contribution. (b) $I3K motor pool contribution, $2,500 equipment, $IOK striping. (c) $I3K motor pool contribution, $2,500 equipment. imams PARKING ENTERPRISE FUND Budgeted Statement of Revenue and Expenses t'. and Change in Net Position For 20I4 and 2OI5 20I2 20I3 20I4 20I5 Actual* Budget Budget Budget Operating revenue-parking fees $293,443 $260,650 $280,400 $282,500 Operating expense: Salaries &Benefits 89,586 I33,755 135,166 I38,992 Purchased Services 66,57I 7,970 3,950 3,950 Supplies and Maintenance I5,586 3I,I50 33,500 33,500 General and Administrative 43,550 48,482 40,889 40,94I Total operating expense: $2I5,293 $22I,357 $2I3,505 $2I7,383 Operating income before depreciation 78,I50 39,293 66,895 65,117 Depreciation 23,968 I6,757 22,969 22,969 Operating income(ooss) $54,I82 $22,536 $43,926 $42,I48 Non-operating revenues (expense) l limo Interest Income and other 3,033 3,700 3,000 3,000 Total non-operating revenue(expense) $3,033 $3,700 $3,000 $3,000 Transfers to other funds -$23,475 -$20,852 -$22,672 -$22,600 Change in net position $33,740 $5,384 $24,254 $22,548 Beginning net position $548,977 $582,7I7 $588,I0I $6I2,355 Ending net position $582,7I7 * $588,I0I $6I2,355 $634,903 # Ties to annual Comprehensive Annual Financial Report