2016-2020_Financial_Plan_Web
Sewer—Financial Summary (in thousands)
2014
2015
2015
2016
2017 PLAN
2018 PLAN
2019 PLAN
2020 PLAN
REVENUE SUMMARY
ACTUAL ACTUAL BUDGET BUDGET
Restated
Taxation
$
2,954
$
2,533
$
2,441
$
1,935
$
1,498
$
959
$
486
$
13
Investment Income Penalties and Interest
789 447
496 451
652 225
528 240 768
559 240
581 251
610 263
631 276
$
1,236
$
947
$
877
$
$
799
$
832
$
873
$
907
Departmental Revenues
43,515
46,136
44,947
45,894
47,939
50,154
52,530
55,129
47,705 $
49,616 $
48,265 $
48,597 $
50,236 $
51,945 $
53,889 $
56,049 $
EXPENDITURE SUMMARY
Departmental Expenditures
45,776 $
41,505 $
43,965 $
45,048 $
46,476 $
48,023 $
49,698 $
51,513 $
45,776 $
41,505 $
43,965 $
45,048 $
46,476 $
48,023 $
49,698 $
51,513 $
Interest Alloc'd to Approp. Surp Contrib'n to General Operating
$
268
$
96
$
188
$
156
$
170
$
192
$
221
$
242
3,381 6,287
3,509 6,291
3,464 5,473
2,132 5,106
2,132 5,106
3,070 5,492
3,166 5,798
3,267 6,258
Contrib'n to Capital
Net Tsf To/(Frm) Surp/Resrv
(7,276)
777
(3,126)
(5,169)
(5,374)
(5,795)
(5,698)
(5,506)
$
1,929
$
8,111
$
4,300
$
3,549
$
3,760
$
3,922
$
4,191
$
4,536
Surplus/(Deficit)
$
- -
$
- -
$
- -
$
- -
$
- -
$
- -
$
- -
$
- -
Transfers (To)/From Surplus
$
-
$
-
$
-
$
-
$
-
$
-
$
-
$
-
Sewer Expenditures
Sewer Operations 23.2%
GVS&DD Charges 66.0%
Capital 10.8%
2016-2020 FINANCIAL PLAN
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