2016-2020_Financial_Plan_Web
Sewer—Utility Operations
2014
2015
2015
2016
2017 PLAN
2018 PLAN
2019 PLAN
2020 PLAN
DIVISION SUMMARY
ACTUAL ACTUAL BUDGET BUDGET
Restated
Sewer Utility
$
2,461
$
(4,431)
$
(782)
$
(646)
$
(1,263)
$
(1,931)
$
(2,632)
$
(3,416)
$
2,461
(4,431) $
$
(782)
$
(646)
(1,263) $
(1,931) $
(2,632) $
(3,416) $
ACCOUNT SUMMARY
Revenues Sales and Services
(43,515) $
(46,128) $
(44,947) $
(45,894) $
(47,939) $
(50,154) $
(52,530) $
(55,129) $
Grants, Donations and Other
-
(8)
-
-
-
-
-
-
(43,515)
(46,136)
(44,947)
(45,894)
(47,939)
(50,154)
(52,530)
(55,129)
Expenditures Salaries and Benefits
-
-
-
-
-
-
-
-
Operating Costs
43,541
39,515
44,640
45,878
47,339
48,921
50,632
52,484
Internal Services Used
6,315
9,617
6,288
6,401
6,657
6,923
7,200
7,488
Internal Services Recovered
(4,053)
(7,598)
(6,963)
(7,231)
(7,520)
(7,821)
(8,134)
(8,459)
-
-
-
-
-
-
External Recoveries
(27)
(29)
45,776
41,505
43,965
45,048
46,476
48,023
49,698
51,513
Net Operations Total
2,261
(4,631)
(982)
(846)
(1,463)
(2,131)
(2,832)
(3,616)
Transfers Transfer From Own Sources Transfer To Own Sources
-
-
-
-
-
-
-
-
200 200
200 200
200 200
200 200
200 200
200 200
200 200
200 200
$
2,461
(4,431) $
$
(782)
$
(646)
(1,263) $
(1,931) $
(2,632) $
(3,416) $
Sewer Departmental Operations ($ 000's)
50,000
40,000
30,000
Revenues Expenses
20,000
10,000
0
2014 Actual
2015 Actual
2015 Budget
2016 Budget
2016-2020 FINANCIAL PLAN
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