2016-2020_Financial_Plan_Web
Drainage—Significant Changes
2015 ADOPTED BUDGET
$
33,530
REVENUES Taxation Rate Change
……………………………. …………………………….
$
(316)
896
580
Growth Change
Sales and Services Permits/Sundry
…………………………….
90
90
Total Change in Revenue
670
2016 REVENUE BUDGET
34,200
EXPENDITURES Increase in Drainage Maintenance Costs Increase in Non-Capital, Operating Costs
……………………………. …………………………….
15
(1,860)
(1,845)
Contribution to Capital Non-Growth
……………………………. …………………………….
382
DCC Contributions
(266)
116
Net Transfers Utility Building Transfer to Roads
……………………………. ……………………………. …………………………….
(512)
135
Internal Borrowing from Sewer
2,355
2,399
Total Change in Expenditures
670
2016 EXPENDITURE BUDGET
34,200
$
-
2016 BUDGET
2016-2020 FINANCIAL PLAN
245
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