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K ). <br /> UTILITY FUND INCOME STATEMENTS 09/24/92 <br /> WATER SEWER • <br /> 1990 1991 1992 19931990 1991 1992 1993 <br /> ACTUAL ACTUAL ESTIMATED PROPOSED � ACTUAL ACTUAL ESTIMATED PROPOSED <br /> REVENUE: <br /> SALES & USE FEES $383,637 $396,946 $482,559 $482,013 $871,500 $900,077 $942,810 $981,604 <br /> PENALTIES & INTEREST $7,183 $8 337 $7,100 $7,552 $14,244 $17 423 $$13,306 $14,678 <br /> CONNECTION FEES $0 100 $0 $0 $1,200 $520 $2 929 $2 661 <br /> PERMITS $0 $0 $300 $300 $0 $0 $300 $330 <br /> INVESTMENT INCOME $121,665 $111,746 $87,640 $60,039 $33,671 $32,615 $21,918 $18,671 <br /> METER SALES $0 $0 $6,000 $6,000 $0 $0 $0 $0 <br /> OTHER REVENUE $6,034 $15,638 $3,669 $2,735 $2,597 $39,890 $3,610 <br /> $7,940 <br /> TRANSFERS IN 0 0 $0 $0 0 0 0 $62,920 <br /> APPR. OF RETAINED EARNINGS $0 $0 $152,000 $155,000 $0 $0 $0 $0 <br /> TOTAL REVENUES $518,519 $532,767 $739,268 $713,639 $923,212 $990,525 $984,873 $1,088,804 <br /> EXPENSES: <br /> OPERATIONS $351,415 $353,446 $395,491 $398,222 $734,420 $783,818 $842,611 $$40,498 <br /> DEPRECIATION 127,417 127,158 22,316 $22,600 119,061 126,010 19,239 $23,210 <br /> CAPITAL OUTLAY 0 $5,924 47,920 $37,250 0 $1,458 30,219 $183,489 <br /> DEBT SERVICE 0 0 $235,597 $222,578 0 $0 $0 $0 <br /> CONTINGENCY 00 $15,000 15,000 0 SO $15,000 15,000 <br /> DMAAIINTENANFOR EMAINTENANCE $16,4$44 $28,3$08 $22,0$00 12,0$00 $33,6$33 $2,2z$0 4 $25,0$0 20,0$0 <br /> TOTAL EXPENSES $495,266 $514,856 $738,324 $707,650 $887,174 $913,510 $932,069 $1,082,197 <br /> NET INCOME (LOSS) $23,253 $17,911 $944 $5,989 $36,038 $77,015 $52,804 $6,607 • <br /> • <br />