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Agenda - Council - 12/10/1996
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Agenda - Council - 12/10/1996
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Meetings
Meeting Document Type
Agenda
Meeting Type
Council
Document Date
12/10/1996
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~Wa.ter Utili _ty Fund .(continue. el) <br /> <br />The capital items outlined on the notes are ail items that were approved during the normal 1997 <br />budgeting process. No additional items are being requested for 1997. <br /> <br />Sewer Utility. F.und <br /> <br />It is estimated that total revenues for 1997 will be $381,246 which includes interest earnings of <br />$20,000. These revenue projections also incorporate 5% rate increases that are being proposed at <br />this meeting and would become effective January 1, 1997. Expenditures are estimated to be at <br />$329,050 which includes depreciation (non-cash) of $149,954. This results in a budgeted <br />operating profit of $52,196, which is a bit more than break even, and continues to decrease the <br />deficit in retained earnings. <br /> <br />As w/th the WAC charge in the Water Utility Fund, there was an "administrative fee" attached to <br />the mandatory MCES SAC charge during 1993. These monies are restricted for future expansion <br />and modifications to the system The items outlined in the notes as CIP expenditures will be <br />funded primarily fi~om the SAC Handling charges <br /> <br />The capital items outlined on the notes are all items that were approved during the normal 1997 <br />budgeting process. No additional items are being requested for 1997. <br /> <br />StreetLight Utility. Fund <br /> <br /> The Street Light Utility Fund was established late in 1992 and meant to account for billings to <br /> property owners and payment of electrical service charges for subdivision street lights that are <br /> required in all new urban subdivisions. A pre-established rate of $8.25 per quarter was set in <br /> conjunction with the developers paying for the fn:st three years of operation and maintenance. <br /> The rate therefore will remain the same until all amortization of the developer paid operation and <br />'maintenance monies are exhausted. At that point the cost of providing the service may be <br />Charged in full to the residents receiving the benefits. <br /> <br />Also incorporated into this fund w/Il be the addition of subdivision street lighting that has been <br />petitioned for and installed. These revenues were incorporated into this budget utilizing the <br />$13.65 per quarter that was established through the feasibility study. <br /> <br />During 1995 the City Council approved the installation of a number of A and B priority lights <br />with the underlying intent of billing residential properties directly for that cost. The amount <br />incorporated into this budget is based on $2.00 per year for each residential property. The <br />associated costs include the cost of operation and maintenance as well as depreciation. <br /> <br /> <br />
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