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Vehicle and Equipment Replacement Plan <br />The schedule has been updated to reflect retirements, new acquisitions, and changes to <br />expected useful lives. The current amounts transferred to the Vehicle and Equipment <br />Fund from the participating funds is sufficient to maintain replacement levels except for <br />the General Fund. The General Fund amount was reduced to balance the budgets in <br />2010, 2011, 2012, and 2013 but has been systematically increased starting in 2013. <br />There is an unfunded balance of $1,010,713 compared with the prior year of $827,317, <br />replacement costs and useful lives were updated to reflect more accurate expectations. <br />Impact on Capital Projects Funds' Cash Balances: <br />This presents the sources and uses and impacts to cash for the Capital Improvement Program <br />on the four capital projects funds for the five year period of this report, 2019 thru 2023. <br />Utility Rate Studies <br />Rate studies are included for the utility funds. (Water, sewer, storm water, street light) The water, <br />sewer, and storm water rates should be considered for an increase in 2019. The water base rate <br />is proposed to increase by $4 in 2019 and the variable rate is proposed to increase by $.10, which <br />will increase water charges by $1.95 per month or $23.44 a year to the average bill. The rate <br />tiers should be reviewed in future years to be considered for adjustment. The sewer rate is <br />proposed to increase by 5% in 2019, which will add $1.41 per month or $16.92 a year to the <br />average residential bill. The need for an increase in both the water and sewer funds is generated <br />by significant capital expenses from deferred maintenance and increases in disposal charges by <br />Metropolitan Council Environmental Services for the current and previous years. Future <br />increases will need to be considered until both funds stabilize. The storm water rate should be <br />considered for a $1 per quarter increase to begin preparing for the dredging of Silver View Pond <br />storm water basin in 2026 or later. (Approximate cost $2 million). The street light rate is proposed <br />to remain stable until 2022. Water service repair insurance is currently $7.50 per quarter and we <br />will need to monitor this for future increases. There have been significant increases in repairs <br />that have occurred over the last five years. <br />Five Year Financial Plan Adoption: <br />The Five Year Plan is a blueprint for future years and is only one possible scenario. It is intended <br />to be changed as priorities change and more current information becomes available. Staff <br />welcomes Council comments and direction on any desired changes. Once adopted the five year <br />financial plan will be published on the City's website. <br />Respectfully Submitted, <br />Mark Beer <br />