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Agenda - Council - 06/14/2022
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Agenda - Council - 06/14/2022
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3/14/2025 2:32:40 PM
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6/28/2022 9:17:14 AM
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Meetings
Meeting Document Type
Agenda
Meeting Type
Council
Document Date
06/14/2022
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ENTERPRISE FUNDS OVERVIEW <br /> The City maintains several enterprise funds to account for services the City provides that are financed <br /> primarily through fees charged to those utilizing the service. This section of the report provides you with <br /> an overview of the financial trends and activities of the City's enterprise funds, which include the Water, <br /> Sewer, Street Light, Recycling, and Storm Water Utility Funds. <br /> The utility funds comprise a considerable portion of the City's activities. These funds help to defray <br /> overhead and administrative costs. We understand that the City is proactive in reviewing these activities <br /> on an ongoing basis and we want to reiterate the importance of continually monitoring these operations. <br /> Over the years, we have emphasized to our city clients the importance of these utility operations being <br /> self-sustaining, preventing additional burdens on general governmental funds. This would include the <br /> accumulation of net position for future capital improvements and to provide a cushion in the event of a <br /> negative trend in operations. <br /> ENTERPRISE FUNDS FINANCIAL POSITION <br /> The following table summarizes the changes in the financial position of the City's enterprise funds during <br /> the year ended December 31, 2021,presented both by classification and by fund: <br /> Enterprise Funds Change in Financial Position <br /> Net Position <br /> as of December 31, <br /> 2021 2020 Change <br /> Net position of enterprise funds <br /> Total by classification <br /> Net investment in capital assets $ 5759409442 $ 56,1661921 $ 11773,521 <br /> Unrestricted 4891269205 4495681513 395571692 <br /> Total enterprise funds $ 10610669647 $ 10017351434 $ 51331,213 <br /> Total by fund <br /> Water Utility $ 5517201428 $ 52,7361670 $ 21983,758 <br /> Sewer Utility 31,436,866 301186,399 11250,467 <br /> Street Light Utility 1,752,929 1,738,463 14,466 <br /> Recycling Utility 4251477 430,956 (5,479) <br /> Storm Water Utility 16,7301947 1516421946 110881001 <br /> Total enterprise funds $ 10610661647 $ 10017351434 $ 51331,213 <br /> In total, the net position of the City's enterprise funds increased by $5,331,213 as presented in the table <br /> above. The current year increase was due to capital contributions received and positive operating results <br /> in total for the enterprise funds. <br /> -12- <br />
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