Laserfiche WebLink
Fiscal Year 2024 <br />CAPITAL EQUIPMENT 2024 - 2040 <br />SOURCES 2023 EST. ACTUAL 2023 2024 2025 2026 2027 2028-2033 2034-2040 <br />Capital Improvement Levy 338,200$ 338,200$ 368,200$ 398,200$ 428,200$ 458,200$ 3,379,200$ 4,866,400$ <br />Infrastructure Transfer 90,000 90,000 90,000 90,000 90,000 90,000 270,000 270,000 <br />Trade/Sale of Equipment 55,000 55,916 45,000 45,000 45,000 45,000 270,000 270,000 <br />Donations/Grants 424,079 521,325 - - - - - 33,000 <br />GF Excess Fund balance Transfer (1)100,000 - 125,000 - - - - - <br />Interest / Equipment note proceeds 7,500 7,500 7,500 7,500 7,500 7,500 920,000 12,000 <br />TOTAL 1,014,779$ 1,012,941$ 635,700$ 540,700$ 570,700$ 600,700$ 4,839,200$ 5,451,400$ <br />Uses <br />Police 178,193$ 283,037$ 201,373$ 275,634$ 85,001$ 267,186$ 1,741,765$ 1,874,927$ <br />Fire 185,269 278,948 138,420 151,095 190,001 238,126 1,136,046 1,187,971 <br />Administration/Finance 48,764 48,130 10,525 60,618 50,000 13,367 174,758 149,667 <br />Streets 77,795 79,549 3,296 104,844 - 5,000 124,930 831,732 <br />Parks 126,553 167,081 7,182 19,907 113,255 28,105 359,063 422,138 <br />DAILY OPERATIONS-MINIMAL EQUIPMENT NEEDS 616,574 856,744 360,795 612,098 438,257 551,785 3,536,561 4,466,434 <br />NET CHANGE BEFORE BIG TICKET ITEMS BELOW 398,205$ 156,197$ 274,905$ (71,398)$ 132,443$ 48,915$ 1,302,639$ 984,966$ <br />SPECIFIC OPERATIONS - EQUIPMENT NEEDS <br />Scheduled Items <br />Fire Engines*424,079 437,328 - - - - 915,296 - <br />SCBA COMPLETE PACK 218,700 218,240 - - - - - - <br />Dump Trucks (moved 1 DT to utility fund)- 89,749 160,893 - - - 251,528 331,870 <br />2008 F750 High Ranger Aerial Truck - - - - 195,806 - - <br />1991 FIRE UTILITY TRUCK (rebuild vs replace)- 96,112 - - - - - - <br />1999 Parks 4500 Tractor - - - - 57,765 - - - <br />SIGNIFICANT ITEMS 642,779 841,429 160,893 - 57,765 195,806 1,166,824 331,870 <br />NET CHANGE (244,574)$ (685,232)$ 114,012$ (71,398)$ 74,678$ (146,891)$ 135,815$ 653,096$ <br />BEGINNING CASH BALANCE 1,069,435$ 824,862$ 139,630$ 253,642$ 182,244$ 256,921$ 110,030$ 245,845$ <br />ENDING CASH BALANCE 824,862$ 139,630$ 253,642$ 182,244$ 256,921$ 110,030$ 245,845$ 898,941$ <br />* CURRENT PLAN IS TO FINANCE FUTURE ENGINE PURCHASES, UNLESS POST 2023 DEBY LEVY FUNDING IS AVAILABLE <br />and Fund balance policy, 2023 Transfer based on estimated