2018 - 2022 Financial Plan Online Interactive
WATER—SIGNIFICANT CHANGES
(in thousands)
REVENUES 2017 ADOPTED BUDGET
$
72,644
Taxation Local Improvement
…………………………….
$
96
96
Investment Income
…………………………….
(116)
(116)
Penalties and Interest on Taxes
…………………………….
23
23
Sales & Services Rate Change
……………………………. ……………………………. ……………………………. …………………………….
3,223
Growth
(605)
Conversions
(95)
Connection Fees/Special Reads
(118)
2,405
Total Change in Revenue
2,408
2018 REVENUE BUDGET
$
75,052
EXPENDITURES 2017 ADOPTED BUDGET
$
72,644
Expenditures Inventory Increase Economic Increase
……………………………. ……………………………. ……………………………. …………………………….
$
(50)
126
Water Operations Service Level Adjustment
(906)
Increase in GVWD Water Costs
4,030
4,128
Interest Allocated to Appropriated Surplus
…………………………….
206
206
Contribution to Capital Non-Growth
……………………………. ……………………………. …………………………….
(588)
DCC Contributions
323
Transfer to Roads Capital
15
(250)
Net Transfers Contribution to Operating Fund
……………………………. ……………………………. …………………………….
67
Decrease in Transfers for Infrastructure Increase Funding from Rates Reserve
(1,704)
(39)
(1,676)
Total Change in Expenditures
2,408
2018 EXPENDITURE BUDGET
$
75,052
2018 BUDGET
$
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2018-2022 Financial Plan
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