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Sewer Fund Five-Year Analysis Budget Proposed <br /> 2010 2011 2012 2013 2014 2015 2016 <br /> OPERATING REVENUES <br /> Charges for services $ 319,947 $ 337,785 $ 375,103 $ 389,134 $ 411,218 $ 377,400 $ 395,000 <br /> OPERATING EXPENSES <br /> Salaries & Benefits 90,334 101,590 89,475 85,495 77,874 86,300 77,400 <br /> Supplies 1,522 1,222 1,611 1,218 215 3,000 2,000 <br /> Other services&charges 26,233 17,794 31,746 79,620 25,300 26,100 32,000 <br /> Utilities 2,977 3,197 2,985 3,417 4,252 3,000 3,500 <br /> MCES-disposal charges 182,604 195,880 189,237 193,648 195,304 194,000 194,243 <br /> Depreciation 118,926 118,927 118,738 117,790 115,137 119,000 118,000 <br /> TOTAL OPERATING EXPENSES ..422,.5`9.66 ... 438..,610 . 43333,792 481,188 418,082 41c3�1,,/400�0 4227,14/3 <br /> V�f) �P;el[ V049�;. P) <br /> NONOPERATING REVENUES( EXPENSES r <br /> Interest Earnings 25,630 14,708 18,843 28,053 32,627 26,000 25,000 <br /> Intergovernmental - - _ - - - - <br /> Interest Expense - - - _ - - _ <br /> TOTAL NONOPERATING REVENUES(EXPENSES) 25,630 14,708 18,843 28,053 32,627 26,000 25,000 <br /> 4XVK TRANSFERS :,'- *f n POP);. :06A F} � -.- .��i:�} 25J43 (28,000) (7.143) <br /> .,e^.�•','.�!oX'a1.� «r . e'{»a;�+.,'rw-c»Mrifd,zrso.�:,nie. .-- ,, .r.�^ r :r,� .. :. , <br /> CAPITAL CONTRIBUTIONS FROM OTHER FUNDS - - - - - <br /> CAPITAL CONTRIBUTIONS 35,202 36,723 94,062 54,771 19,118 27,000 40,000 <br /> TRANSFERS IN - - - - - - _ <br /> TRANSFERS OUT - - - (388,296) - - <br /> Iw E 11i1•,N .� ,.,. ::.: ;v �k ,. `�} r i l 7,PZO 44,W (X,RW) $057 <br /> NET POSITION,JANUARY 1 5,039,203 4,997,386 4,947,992 5,002,208 4,604,682 4,649,563 4,648,563 <br /> NET POSITION,DECEMBER 31 $4,997,386 $4,947,992 $5,002,208 $4,604,682 $4,649,563 $4,648,563 $4,681,420 <br />