2018 - 2022 Financial Plan Online Interactive
WATER—FINANCIAL SUMMARY
(in thousands)
2016
2017
2017
2018
2019 PLAN
2020 PLAN
2021 PLAN
2022 PLAN
REVENUE SUMMARY
ACTUAL ACTUAL BUDGET BUDGET
Taxation
$
113
$
129
$
83
$
179
$
139
$
122
$
96
$
79
Investment Income Penalties and Interest
545 650
427 668
545 704
429 727
551 772
524 831
506 899
488 980
1,195
1,095
1,249
1,156
1,323
1,355
1,405
1,468
Departmental Revenues
71,457
73,693
71,312
73,717
78,226
84,179
90,984
99,084
72,765 $
74,917 $
72,644 $
75,052 $
79,688 $
85,656 $
92,485 $
100,631 $
EXPENDITURE SUMMARY
Departmental Expenditures
$
56,892
$
58,695
$
61,304
65,432 $
$
68,760
$
73,240
$
78,131
$
83,515
56,892 $
58,695 $
61,304 $
65,432 $
68,760 $
73,240 $
78,131 $
83,515 $
Interest Alloc'd to Approp. Surp Contrib'n to General Operating
$
192
$
1,021 5,164
$
150
$
356
$
366
$
342
$
325
$
309
6,726
6,889
5,018 8,900
5,085 8,650
5,375 8,667
5,761 8,703
6,201
Contrib'n to Capital
10,548 (1,756)
10,561
10,193 (2,365)
10,189
Net Tsf To/(Frm) Surp/Resrv
(524)
(2,728)
(4,471)
(3,480)
(2,390)
(108)
15,873 $
16,222 $
11,340 $
$
9,620
10,928 $
12,416 $
14,354 $
17,116 $
Surplus/(Deficit)
$
- -
$
- -
$
- -
$
-
$
- -
$
- -
$
- -
$
- -
Transfers (To)/From Surplus
-
$
-
$
-
$
-
$
-
$
-
$
-
$
-
$
-
Water Fund Expenditures
Water Operations 29.0% GVWD Purchases 59.3% Capital 11.7%
the future lives here.
2018-2022 Financial Plan
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