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2025 Management Report
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2025 Management Report
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Last modified
7/27/2026 2:35:47 PM
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7/27/2026 2:35:04 PM
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Financial/Accounting
Code
FIN 02620
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MANAGEMENT REPORT
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PERMANENT
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SEWER FUND <br />The following graph presents five years of comparative operating results for the City's Sewer Fund: <br />Sewer Fwid <br />Year Ended December 31, <br />$1 10,000 <br />$100,000 <br />$90,000 <br />$80,000 <br />$70,000 <br />$60,000 <br />$50,000 <br />$40,000 <br />$30.000 <br />$20,000 <br />$10, 000 <br />$(10,000) <br />$(20.000) <br />$(30.000) <br />2021 <br />2022 <br />2023 <br />2024 <br />2025 <br />�OperatingRevenue <br />$557823 <br />$61,942 <br />$58,207 <br />$80,255 <br />$78,194 <br />DOperaong Expense <br />$54.102 <br />$64,472 <br />$75,447 <br />$93,030 <br />$99,559 <br />—Operating Income (Loss) <br />$1,721 <br />$(2,530) <br />$(177240) <br />$(12,775) <br />5(21,365) <br />—Income (Loss) Before Depreciation <br />S177787 <br />$13,536 <br />1 $79 <br />1 $3,604 <br />$(4,986) <br />The Sewer Fund ended 2025 with a total net position of $1,127,568, an increase of $16,568 from the prior <br />year. Of this, $523,706 represents the investment in capital assets, leaving unrestricted net position of <br />$603,862. <br />Operating revenue in the Sewer Fund decreased $2,061 from the prior year. <br />Sewer Fund operating expenses for 2025 increased $6,529 from the previous year. <br />-15- <br />
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