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2017 2018 2018 2019 2020 2021 2022 2023 <br />Actual Budget Estimated Budget Budget Budget Budget Budget <br />REVENUES: <br />Funds Transferred In (W/S Deprec.)300,000$ 300,000$ 300,000$ 300,000$ 300,000$ 300,000$ 300,000$ 300,000$ <br />Solar Panels - 7,280 - 7,240 7,200 7,170 7,130 7,100 <br />Sale of City Property - - 369,990 - - - - - <br />Interest Earnings 50,157 28,260 28,260 42,360 42,830 43,518 43,170 44,006 <br />TOTAL REVENUES 350,157$ 335,540$ 698,250$ 349,600$ 350,030$ 350,688$ 350,300$ 351,106$ <br />EXPENDITURES: <br />Admin & Equipment: <br />Audit 1,760$ 1,795$ 1,795$ 1,800$ 1,860$ 1,920$ 1,980$ 2,040$ <br />Administration fees - 3,850 3,850 4,645 1,660 1,300 1,300 1,300 <br />Water meter system gateway - 6,100 6,120 - 8,000 - 8,000 - <br />Vactor Hose - - - - - - 2,100 <br />Land resale/purchase costs 11,668 - - - - - - - <br />Sanitary sewer service inspection camera 10,254 - - - - - - - <br />Sewer Camera 58,800 - - - - - - - <br />Sewer Camera wheel kit 3,037 - - - - - - - <br />Surface Pro Tablet - Truck 111 1,221 - - - 1,300 - - 1,300 <br />Gas monitor - 600 600 - - - - - <br />GPS device - 1,800 - 9,000 - - - - <br />Sewer cleaning machine - - - 450,000 - - - - <br />Hydrant buddies - - - - - 10,000 - - <br />Gate valve operator 7,000 <br />Debt service payments transfer 229,865 227,070 227,070 229,225 226,320 228,370 225,145 231,145 <br />Transfer out (1)81,307 1,407,350 1,407,350 - - - - - <br />Total Admin & Equipment 397,912$ 1,648,565$ 12,365$ 701,670$ 239,140$ 241,590$ 238,525$ 235,785$ <br />Lines: <br />Rice St. valve repair - 60,000 - 60,000 - - - - <br />Paint hydrants - 5,000 - 5,000 - - - - <br />Lining Sanitary 345 - - 40,000 - - - - <br />Miscellaneous water line repair 107,773 40,000 40,000 40,000 40,000 40,000 40,000 40,000 <br />Total Lines 108,118$ 105,000$ 40,000$ 145,000$ 40,000$ 40,000$ 40,000$ 40,000$ <br />Facilities <br />Water Tower Insp./Repairs/Painting 6,750 69,000 81,450 - - - - - <br />Furniture/Equipment Maintenance Bldg 12,955 5,000 3,000 5,000 5,000 5,000 5,000 5,000 <br />Solar Panels on Public Works Building 117,879 - - - - - - <br />Sunset Court - Lift station pump - 18,000 16,310 18,000 - - - - <br />Booster Station Pump #1 - 15,000 18,000 - - - - - <br />Booster Station Pump #2 - - - 18,000 - - - - <br />Booster Station Pump #3 - - - - 18,000 - - - <br />Lift Station Upgrades 1,527 15,000 3,000 10,000 10,000 10,000 10,000 10,000 <br />Total Facilities 139,111$ 122,000$ 121,760$ 51,000$ 33,000$ 15,000$ 15,000$ 15,000$ <br /> <br />TOTAL EXPENDITURES 645,141$ 1,875,565$ 174,125$ 897,670$ 312,140$ 296,590$ 293,525$ 290,785$ <br />NET INCREASE (DECREASE)(294,984) (1,540,025) 524,125 (548,070) 37,890 54,098 56,775 60,321 <br />BEGIN. FUND BAL. (DEFICIT)2,807,287 2,512,303 2,512,303 3,036,428 2,488,358 2,526,248 2,580,346 2,637,121 <br />ENDING FUND BAL. (DEFICIT)2,512,303$ 972,278$ 3,036,428$ 2,488,358$ 2,526,248$ 2,580,346$ 2,637,121$ 2,697,442$ <br />LESS INTERFUND LOAN BAL.267,113 267,113 267,113 267,113 267,113 267,113 267,113 267,113 <br />AVAILABLE FUND BALANCE 2,245,190$ 705,165$ 2,769,315$ 2,221,245$ 2,259,135$ 2,313,233$ 2,370,008$ 2,430,329$ <br />(1) 2018 Transfer out is an interfund loan for 2009 HIA bond payoff <br />CITY OF LITTLE CANADA <br />WATER/SEWER CAPITAL REPLACEMENT FUND (604) <br />2017 THROUGH 2023