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. <br /> CITY OF MOUNDS VIEW <br /> UTILITY RATE STUDY <br /> TABLE OF CONTENTS <br /> 411 <br /> Section 1 <br /> Reference <br /> Introduction and Overview .Page 1 <br /> Historical Financial Statement Analysis .Page 2 <br /> Projection Assumption .Page 4 <br /> Rate Analysis .Page 6 <br /> Section 2 <br /> Accountants Report On Historical and Projected Financial Statements <br /> Summary of Significant Projection Assumptions <br /> Historical Water Fund Financial Statements- <br /> I1991through 1995: <br /> Balance Sheets Schedule 1 <br /> Statements of Revenue,Expenses and Changes in Retained Earnings Schedule 2 <br /> Statements of Cash Flow Schedule 3 • <br /> Historical Sewer Fund Financial Statements- <br /> I 1991 through 1995: <br /> Balance Sheets Schedule 4 <br /> Statements of Revenue,Expenses and Changes in Retained Earnings Schedule 5 <br />' Statements of Cash Flow Schedule 6 <br /> Five Year Projected Water Fund Financial Statements- <br /> 1996 through 2000: <br />' Balance Sheets Schedule 7 <br /> Statements of Revenue,Expenses and Changes in Retained Earnings Schedule 8 <br /> Statements of Cash Flow Schedule 9 <br /> Five Year Projected Sewer Fund Financial Statements- <br /> 1996 through 2000: <br /> Balance Sheets Schedule 10 <br /> Statements of Revenue,Expenses and Changes in Retained Earnings Schedule 11 <br /> Statements of Cash Flow Schedule 12 <br /> E <br /> I <br /> S <br />