HomeMy WebLinkAbout120-82 RESOLUTIONRESOLUTION NO. /cRO-go\
A RESOLUTION APPROPRIATING $13,000.00 FROM THE OFF-
STREET PARKING FUND TO SURFACE THE PARKING LOT BOUNDED
BY BLOCK AVENUE, ROCK STREET, AND EAST AVENUE.
BE IT RESOLVED BY THE BOARD OF DIRECTORS OF THE CITY OF
FAYETTEVILLE, ARKANSAS:
That the Board of Directors hereby appropriates the sum
of $13,000.00 from the Off -Street Parking Fund to surface
the parking lot bounded by Block Avenue, Rock Street, and
East Avenue.
PASSED AND APPROVED this J3% day of 00.10,235ie. , 1982.
ATTEST:
�v�r .t.,,`
--. .By: 21)La.HY . e. -a-
City Clerk 2e
t ..1
•
f
1541/4 .
•
APPROVED:
By: 911-41
Mayor.
•
•
WATER AND SEWER
FUND
1982 -83 BUDGET
•
CITY OF FAYETTEVI LLE, AR
SCOTT L I NEBAUGH, FINANCE DI RECTOR
WATER AND SEWER FUND
TABLE OF CONTENTS
PAGE
Fund Equity - Schedule A 1
Revenues and Expenses Summary - Schedule B 2
Contributions in Aid of Construction - Schedule C 3
Revenue Detail -Operating, Nonoperating 4
Water and Sewer Explanation of Accounts -Revenues 5 & 6
Notes 7
OPERATING EXPENSE DETAIL
Water Supply and Treatment 8 & 9
Transmission and Distribution 10 - 15
Sewer Maintenance and Collection 16 - 21
Pollution Control Plant 22 - 24
Customer Accounting and Collection 25 - 30
Administration and Engineering 31 - 33
Debt Service Reserve 34
CAPITAL
Water Supply and Treatment 35
Transmission and Distribution 36 - 39
Sewer Maintenance and Collection t 40 - 42
Pollution Control Plant 43
Customer Accounting and Collection 44 & 45
Administration and Engineering 46
SCHEDULE A
CITY OF FAY.HT!'EVILLE, ARKANSAS
WATER ANI) SEWER FUND
FUND EQUITY
FOR THE YEARS ENDED JULY 31, 1983; 1982; AND 1981
RETAINED
RESERVES CONTRIBUTIONS EARNINGS TOTAL
BALANCE - JULY 31, 1981 $2,074,585 $12,342,809 $5,425,824 $19,843,218
Net Inccne (Schedule B) 446,959 446,959
Contributions in Aid of
Construction (Schedule C) 304,907 304,907
Net Transfers -0-
BALANCE - JULY 31, 1982 $2,074,585 $12,647,716 $5,872,783 $20,595,084
Net Income (Schedule B) 824,273 824,273
Contributions in Aid of
Construction (Schedule C) 363,515 363,515
Net Transfers -0-
BALANCE - JULY 31: 1983 $2,074,585 $13,011,231 $6,697,056 $21,782,872
1
•
:1
•i
SCHEDULE B
CITY OF FAME rEVILLE, ARKANSAS
WATER AND SEWER FUND
REVENUES AND EXPENSES SUMMARY
FOR THE YEARS ENDED JULY 31, 1983, 1982,
ACTUAL
1980-81
OPERATING REVENUES
Water Sales $2,355,803
Sewer Service Charges 1,721,523
Fire Protection Charges 30,882
Miscellaneous 23,374
Beaver Water Reimbursement 14,751
Total Operating Revenues 4,146,333
OPERATING EXPENSES
Water Supply & Treatment
Water Transmission & Distribution
Sewage Collection & Maintenance
Pollution Control
Customer Accounting & Collection
Administrative & Engineering
Total Operating Expenses
NET OPERATING INCOME (LOSS) BEFORE
DEPRECIATION
LESS: DEPRECIATION EXPENSES
NET OPERATING INCOME (LOSS)
789,575
207,296
213,345
707,680
347,292
750,537
3,015,725
AND 1981
ESTIMATED
1981-82
$2,261,997
2,144,369
30,900
20,272
-0-
4,457,538
745,000
287,336
284,949
790,537
432,274
496,326
3,036,422
1,130,608 1,42 1,116
810,527 829,193
320,081 591,923
NON-OPERATING INCOME
Rental Income 1,403
Recreation Income 17,328
Interest Income 324,331
Gain on Sales of Capital 9,319
Other (20)
Total Non -Operating Income 352,361
TOTAL INCOME 672,442
NON-OPERATING EXPENSES
Recreation Expense 27,873
Bond Interest & Paying Agents Fees 487,376
Other Amortization of Bond Discount 20,654
Total Non -Operating Expenses 535,903
NET INCOME TO RETAINED EARNINGS
(SCHEDULE A) $ 136,539
2
600
3,414
353,115
2,603
450
360,182
952,105
13,692
470,800
20,654
505,146
BUDGETED
1982-83
$2,330,244
2,988,700
31,220
20,000
-0-
5,370,164
925,000
325,100
284,070
845,085
479,775
644,4/1/1
.3,503,474
1,866,690
850,745
1,015,945
2,100.
-0-
285,000
10,000
-0-
297,100
1,313,045
-0-
463,968
20,654
484,622
445,959 $ 828,423
SCHEDULE C
CITY OF FAYE EV TLTE, ARKANSAS
WATER AND SEWER FUND
CONTRIBUTIONS IN AID OF CONSTRUCTION
FOR THE YEARS ENDED JULY 31, 1983; 1982; AND 1981
ACTUAL ESTIMATED
80-81 81-82
CONTRIBUTIONS IN AID OF CONSTRUCTION
EPA Studies $
Grants - Utility Relocation 662,353
Grants - State Health Department 45,000
Water Connection Fees 25,100
Sewer Connection Fees 15,900
Rural Water Taps 8,700
Contractor Contributions 10,418
Main Extension Fees 57,812
Other 23,094
Net to Contributions (Schedule A) 848,377
-0- $ 29,600
133,867
66,000
20,850
18,700
10,200
12,642
13,048
CONSTRUCTION EXPENDITURES (CAPITAL)
Water Supply & Treatment
Transmission & Distribution
Sewage Collections & Maintenance
Pollution Control
Customer Accounting & Collection
Administration & Engineering
104,000
618,432
304,121
37,000
37,509
9,210
$1,110,272
-0-
304,907
35,270
408,008
297,396
53,500
32,030
• -0-
$ 826,204
BUDGETLD
82-83
$ 270,100
16,845
- 0-
23,000
20,570
10,000
10,000
13,000
- 0-
363,515
- 0-
883,300
463,300
134,650
63,960
470,000
$2,015,210
DEPRECIATION ($ 261,895) ($ 521,297)($1,651,695)
SCHEDULE D
OPERATING REVENUES
333-46
333-45
333-48
333-49
333-50
333-58
CITY OF FAYETTEVILLE, ARKANSAS
WATER AND SEWER FUND
REVENUE DETAIL-OPERATING-NONOPERATING
CONTRIBUTION IN AID OF CONSTRUCTION (CAPITAL)
FOR THE YEARS ENDING JULY 31, 1983; 1982; 1981
Water Sales - Rural
Water Sales
Sewer Charges
Fire Hydrant Charges
Miscellaneous Income
BeaverWater Reimbursement
Total Operating Revenues
NONOPERATING REVENUES
333-41 Rental Income
333-43 Recreation Fees
Lake Fayetteville
Lake $equoyah '
335-00 Interest Income
335-50 Sale of Fixed Assets
Other
Total Nonoperating Revenues
Total Revenue for Retained Earnings
CONTRIBUTIONS IN AID OF CONSTRUCTION
332-05 EPA Studies
332-13 Grants -Utility Relocation
332-08 Grants -State Health Dept..
333-51 Water Connection Fees
333-53 Sewer Connection Fees.
333-52 Rural Water Taps
333-55 Contractors Contributions
333-62 Main Extension Fees
Other
Total Contributions in Aid of
Construction
GRAND TOTAL
ACTUAL ESTIMATED
1980 - 1981 1981-1982
$ -0-
2,355,803
1,721,523
30,882
23,374
14,751
4,146,333
1,403
17,328
324,331
9,319
(20)
352,361
$4,498,694
$ -0-
662,353.
45,000
25,100
10,900
5,700
10,418
57,812
31,094
848,377
$5,347,071
$ 216,129
2,045,868
2,144,369
30,900
20,272
- 0-
4,457,538
600
1,634
1,780
353,115
2,603
450
360,182
$4,817,720
$ 29,600
133,867
66,000
20,850
18,700
10,200
12,642
13,048
- 0-
304,907
$5,122,627
BUDGETED
1982-1983
$ 223,000
2,107,244
2,988,700
31,220
20,000
- 0-
5,370,164
2,100
- 0-
- 0-
285,000
10,000
- 0-
297,100
$5,667,264
$ 270,100
16,845
- 0-
23,000
20,570
10,000
10,000
13,000
- 0-
363,515
$6,030,779
�d�� - d. �divnF`�(ic 'a"2.:Y >...::�. s, avnauYcDd•.aY •n
OPERATING REVENUES
33346 Water Sales
WATER AND SEWER FUNDS
WATER AND SEWER REVENUES
040-3
EXPLANATION OF ACCOUNTS
Reflects a projected 3% increase in usage.
33348 Sewer Sales
Reflects seven (7) months of the recommended rate increase by
Black and Veatch.
33350 Miscellaneous Income
Includes reconnect fees, sale of scrap metal and other miscellaneous
items.
NONOPERATING REVENUES
33343 Recreation Fees
•
Lake Fayetteville and Lake Sequoyah recreation divisions were transferred
to General Fund as of January 1, 1982. This move was made to charge the
proper user base for the costs.
33341 Rental Income
Income derived from rental of the house on Pump Station Road.
33500 Interest Income
Reflects decrease due to a lower interest rate.
CONTRIBUTIONS IN AID OF CONSTRUCTION
33205 EPA Study Grants
Reflects an estimated allowance from Engineering Step II. We are not
expecting any reimbursement from EPA this year on the Sewer Rehabilitation
Project.
33213 Grants Utility Relocation
$16,845 balance of grant on Highway 71 Bypass between Johnson Road and
Highway 112.
J
WATER AND SEWER FUNDS
WATER AND SEWER REVENUES
CONTRIBUTIONS IN AID OF CONSTRUCTION
EXPLANATION OF ACCOUNTS
33351 &
33353 Water and Sewer Connection Fees
Includes an expected rate increase to cover the actual cost of the taps.
This is estimated to be 10%.
33352 Rural Water Taps, Main Extension Fees, and Contractor Contributions
Are estimated from the 1981-82 experience.
CITY OF FAYETTEVILLE, ARKANSAS
WATER AND SEWER FUND
FOR THE YEARS ENDING JULY 31, 1983; 1982; and 1981
NOTES
1 Basis of Accounting - The Water and Sewer Fund is an enterprise fund,
and the records are maintained on the Accrual Basis of Accounting.
2. Cost Allocation - Based on an in-depth evaluation in 1982 cost allocation
is now calculated on 21.22% of the Water and Sewer Fund's budgeted Salaries.
This expense is shown only in Customer Accounting and Collection and
Administration Division.
3. Cash Flow - We are estimating our revenues to be $ 27,473 more than expenses
for the year ending July 31, 1983. The important thing to note on cash flow
is the cost of the capital programs which will be entered into in the next
five years.
Major Capital Programs
Sewer System Rehabilitation
Sewer System Construction
Wastewater Treatment
Total
1984 1985
$ 1,450,500 $ 1,624,600
7,415,400
9,211,700
$ 1,450,500 $ 18,251.700
4. Fixed Assets - A detail schedule of fixed assets and depreciation per
division is provided. Depreciation is calculated using the straight
line method over the useful life of the related asset. Depreciation
rates are summarized as follows:
ASSET
Building and Structures
Pumping and Purification Equipment
Water Meters
Fire Hydrants
Water and Sewer Connections
Water and Sewer Mains
Laboratory Equipment
Beaver Water Line
Furniture and Fixtures
Maintenance Equipment
Vehicles
ESTIMATED
USEFUL LIFE
20-50 years
20-40 years
25 years
32 years
40-50 years
40-50 years
5-20 years
50 years
5-10 years
5-10 years
4- 5 years
OPERATIONS
Labor
and Expenses
50-001
50-010
50-051
50-063
50-064
50-100
60-039
Total
WATER AND SEWER FUND
WATER SUPPLY AND TREATMENT
040-485
Salaries & Wages
Minor Equipment
Professional Services
Telephone Expenses
Utilities
Miscellaneous Expenses
Purchases Water
Operations
Maintenance
Maintenance Expense
Total Maintenance
Total Operations and Maintenance
Before Depreciation
Depreciation
85-105 Depreciation Expense
TOTAL WATER SUPPLY AND TREATMENT
ACTUAL
1980-1981
$ -0-
178
5,000
- 0-
78
- 0-
784,319
$ 789,575
- 0-
-o-
-0-
$
$ 789,575
51 ,703
$ 841,278
ESTIMATED
1981-1982
$ -0-
-0-
-0-
- 0-
- 0-
-0-
745,000
$ 745,000.
- 0-
0-
$ 745,000..
43,053
BUDGETED
1982-1983
$ -0-
- 0-
- 0-
- 0-
- 0-
- 0-
925,000
$ 925,000
$ 925,000
40,115
$ 788,053 $ 965,115
WATER AND SEWER FUND
WATER SUPPLY AND TREATMENT
040-485
EXPLANATION OF ACCOUNTS
50-010 Minor Equipment We will not use this account in 1982-
1983.
51-000 Purchased Water
Based on:
a) 3% increase in purchased water from
1981-1982
b) $50/million gallons rate increase in
October 1982.
WATER AND SEWER FUND
WATER SUPPLY AND TREATMENT
040-485
CAPITAL SCHEDULE - SEE CAPITAL BUDGET FOR DETAILS
ACTUAL ESTIMATED BUDGETED
1980-1981 1981 - 1982 1982 - 1983
CAPITAL
99-220 Fluoridation $ 104,000 $ 35,270 $ -0-
Capital-Miscellaneous $ 104,000 $ 35,270 $ -0-
•
OPERATIONS
Labor
and Expenses
50-001
50-009
50-010
50-011
50-025
50-048
50-063
50-064
50-080
50-082
50-083
50-100
Total
WATER AND SEWER FUND
TRANSMISSION AND DISTRIBUTION
040-486
Salaries and Wages
Office Supplies and Printing
Minor Equipment
Cleaning Supplies
Construction Materials
Travel and Training
Telephone Expense
Utilities
Buildings and Grounds Maint.
Radio Maintenance
Vehicles and Machine Maint.
Miscellaneous Expense
Operations Labor & Expenses
Work for Other
Departments
61-001 Salaries and Wages
61-025 Construction Materials
61-083 Vehicles and Machine Maint.
Total Work for Other Departments
Total Operations
MAINTENANCE
Water Mains
70-001
70-025
70-083
70-100
Total
Salaries and Wages
Construction Materials
Vehicles and Machine Maint.
Miscellaneous Expense
Maintenance -Water Mains
Fire Hydrants
71-001 Salaries and Wages
71-025 Construction Materials
71-083 Vehicles and Machine Maint.
717100 Miscellaneous Expense
Total Maintenance -Fire Hydrants
ACTUAL
1980-1981
$ -0-
6
1,417
23
337
- 0-
1,385
26,890
2,271
231
- 0-
627
33,187
2,274
642
144
3,060
36,247
$ 104,278
29,790
8,827
359
143,254
8,859
4,477
402
- 0-
13,738
ESTIMATED
1981-1982
$ 5,650
2
3,186
102
- 0-
- 0-
1,400
30,000
8,700
400
- 0-
100
•
49,540
273
30
90
393
BUDGETED
1982-1983
5,000
-0-
2,600
100
- 0-
1,000
1,600
33,000
3,500
500
- 0-
300
47,600
900
300
600
1 ,800
49,933 $ 49,400
$ 125,492
38,907
29,800
50
194,249
14,298
8,700
1,450
-0-
$ 146,000
36,000
44,000
500
226,500
20,000
8,000
3,000
- 0-
24,448 31,000
lj
r
13
Meters
72-001
72-025
72-083
72-100
Total
WATER AND SEWER FUND
TRANSMISSION AND DISTRIBUTION
CONTINUED
040-486
Salaries and Wages
Construction Materials
Vehicles and Machine Maint.
Miscellaneous Expense
Maintenance -Meters
Growth Area Mains
73-001
73-025
73-083
73-100
Total
ACTUAL
1980-1981
2,064
928
-0-
138
3,130
Salaries and Wages 2,051
Construction Materials 586
Vehicles and Machine Maint. 248
Miscellaneous Expense -0-
Maintenance-Growth ARea Mains 2,885
Tools and Equipment
74-001 Salaries and Wages 6,000
74-025 Construction Materials -0-
74-083 Vehicles and Machine Maint. 326
74-100 Miscellaneous Expense -0-
Total Maintenance -Tools and Equipment 6,326
Tanks
77-001
77-025
77-054
77-083
Total
Salaries and Wages 1,667
Construction Materials -0-
Contract Services -0-
Vehicles and Machine Maint. 49
Maintenance -Tanks 1,716
Maintenance of Dams
82-001 Salaries and Wages
82-083 Vehicles and Machine Maint.
82-100 Miscellaneous
Total Dam Maintenance
Total Maintenance
TOTAL TRANSMISSION AND DISTRIBUTION
BEFORE DEPRECIATION
Depreciation
85-105 Depreciation Expense
GRAND TOTAL TRANSMISSION AND
DISTRIBUTION
-0-
-0-
-0-
-0-
$ 171,049
$ 207,296
335,621
$ 542,917
ESTIMATED
1981-1982
184
500
15
- 0-
699
1,155
320
300
- 0-
1,775
10,305
10
400
- 0-
10,715
3,206
500
1,346
465
5,517
- 0-
- 0-
- 0-
- 0-
BUDGETED
1982-1983
1,000
900
300
- 0-
2,200
1,100
400
200
- 0-
1,700
3,000
50
400
- 0-
3,450
3,600
550
1,600
600
6,350
3,000
1,000
500
4,500
$ 237,403 $ 275,700
$ 287,336 $ 325,100
352,033 367,780
$ 639,369 $ 692,880
WATER AND SEWER FUND
TRANSMISSION AND DISTRIBUTION
040-486
PERSONNEL SCHEDULE
# OF EMPLOYEES
1980-81 1981-82 1982-83 SALARY
Superintendent 1 1 1 $ 21,828
Assistant Superintendent 1 1 1 15,840
Const. Maintenance• Foreman 4 4 4 54,636
Utility Service Leadman 2 1 1 - 10,644
Light Equipment Operator 4 3 3 36,816
Distribution Persons 3 1 1* 9,500
Laborers 2 4 4 35,148
17 15 15 184,412
Contingency 9,168
Fringe Benefits 26,420
Overtime 12,000
TOTAL $232,000
•
*This slot is not filled as of July 1982. Salary is shown for budget purposes.
12
WATER AND SEWER FUND
TRANSMISSION AND DISTRIBUTION
040-486
EXPLANATION OF ACCOUNTS
•
50-001 Salaries and Wages
All salaries are charged to a maintenance or capital account with the
exception of time spent at meetings and unproductive time during bad
weather.
50-009 Office Supplies
This account will be budgeted under Administration due to the small volume
of activity.
50-010 Minor Equipment
Includes: 5 Water tapping bits $1,000
50' @ 5.00 Air compressor hose 250
50' @ $8.00 Hole hog hose 400
3 Rechargeable flashlights 300
Jackhammer bits 100
Miscellaneous tools and equipment 550
TOTAL $2,600
•
50-048 Travel and Training
Includes two (2) men to Hot Springs for short course and miscellaneous
schooling and meetings.
50-063 Telephone Expense
Reflects an approximate 12% increase on phone bills plus the regular
telephone lease expense.
50-064 Utilities
Reflects a 10% increase.
50-080 Buildings and Grounds
This account is decreased because of the extra expense in 1981-82 to remodel.
the rent house.
70-001- Maintenance Water Mains
100
Reflects increase in labor and vehicle charges.
71-001- MalnLenance Fire Hydrants
100
Reflects increase emphasis on fire hydrant maintenance.
WATER AND SEWER FUND
TRANSMISSION AND DISTRIBUTION
CONTINUED
040-486
72-001-
100 Maintenance of Meters
Reflects charges for raising meters which in the past was charged
to Water Main Maintenance.
73-001-
100 Growth Area Mains
Based on 1981-82 experience.
74-001-
100 Maintenance of Tools and Equipment
This account reflects all hours when bad weather kept crews from working
outside. . In the years 1982-83 there will be a separate work order for this
time called other work.This expense will remain in operations salaries.
77-001-
100 Tank Maintenance
Reflects charges on maintaining our water storage tanks as well as the
contract for inspection of tanks far corrosion control and cathodic
protections. In the next fiscal year, this account will increase about
$40,000 to $50,000. This will cover sand blasting and painting the tanks.
82-001-
100 Maintenance of Dams
This account reflects cost of brushhogging dam fronts and maintenance
of access roads.
14
CAPITAL SCHEDULE - See Capital Budget for detail.
h
CAPITAL
Water
89-001
89-025
89-083
89-100
Total
WATER AND SEWER FUND
TRANSMISSION AND DISTRIBUTION
040-486
EXPLANATION OF ACCOUNTS
ACTUAL
1980-1981
Service Connections
Salaries and Wages $ 31,000
Construction Materials 37,500
Vehicle and Machine Maint. 11,000
Miscellaneous -0-
Water Service Connections 79,500
Growth Area Connections
90-001
90-025
90-083
90-100
Total
Water
Salaries and Wages 6,350
Construction Materials 4,800
Vehicles and Machine Maint. 2,400
Miscellaneous -0-
GrowthArea Connections 13,550
Mains
91-001
91-025
91-054
91-083
91-100
Total
Salaries and Wages
Construction Materials
Contract Services
Vehicles and Machine Maint
Miscellaneous
Water Mains
Street Repairs
20,000
6,350
402,288
8,500
1,080
438,218
94-001 Salaries and Wages 8,500
94-025 Construction Materials 20,500
94-083 Vehicles and Machine Maint. 3,000
Total Street Repairs 32,000
Miscellaneous
99-200 Vehicles and Equipment 60,500
99-210 Easements (5,336)
Total Miscellaneous 55,164
ESTIMATED
1981-1982
$ 17,693
16,520
5,800
- 0-
40,013
4,431
1,580
1,370
-0-
7,381
30,188
51,330
223,540
4,500
- 0-
309,558
7,350
22,300
3,200
32,850
10,570
6,050
16,620
BUDGETED
1982-1983
$ 22,000
22,000
11,000
- 0-
55,000
6,000
2,200
2,500
- 0-
10,700
40,500
53,700
572,000
10,300
-0-
676,500
10,000
35,000
5,000
50,000
53,100
25,000
78,100
GRAND TOTAL TRANSMISSION AND DISTRIBUTION
CAPITAL $ 618,432 $ 406,422. $ 870,300
OPERATIONS
Labor and Expenses
50-001
50-009
50-010
50-011
50-048
50-063
50-064
50-080
50-082
50-083
50-100
Total
WATER AND SEWER FUND
SEWER MAINTENANCE AND COLLECTION
040-487
Salaries and Wages
Office Supplies and Printing
Minor Equipment
Cleaning Supplies
Travel and Training
Telephone Expense
Utilities
Buildings and Grounds Maint.
Radio Maintenance
Vehicles and Machine Maint.
Miscellaneous
Operations -Labor and Expenses
Work for Other Departments
61-001 Salaries and Wages
61-025 Construction Materials
61-083 Vehicles and Machine Maint.
Total Operations -Work for Other
Departments
Total Operations
MAINTENANCE
Tool and Equipment
74-001 Salaries and Wages
74-025 Construction Materials
74-083 Vehicles and Machine Maint.
74-100 Miscellaneous
Total Maint-Tools and Equipment.
Sewer Mains
75-001
75-012
75-025
Salaries and Wages
Chemicals
Construction Materials
75-067 Insurance -Self
75-083 Vehicles and Machine Maint.
75-100 Miscellaneous
Total Maint.-Sewer Mains
ACTUAL
1980-1981
$ -0-
17
813
38
975
1,444
50,072
3,406
582
- 0-
484
57,831
4,008
1,145
1,044
6,197
$ 64,028
$ 3,300
- 0-
200
-0-
3,500
67,963
8,083
8,554
-0-
19,159
- 0-
103,759
16
ESTIMATED BUDGETED
1981-1982 ;1982-1983
$ 200
90
1,140
- 0-
200
1,320
67,000
900
630
- 0-
130
71,610
2,157
340
600
3,097
$ 74,707
$ -0-
65
110
- 0-
175
92,882
2,200
13,700
35
38,000
- 0-
146,817
$ 220
- 0-
1,850
50
1,000
1,500
73,700
1,000
700
-0-
200
80,220
3,120
500
500
4,120
$ 84,340
$ 280
100
150
- 0-
530
82,200
5,000
15,000
500
31,700
-0-
134,400
WATER AND SEWER FUND
SEWER MAINTENANCE AND COLLECTION
CONTINUED
040-487
Pumping Equipment
76-001 Salaries and Wages
76-025 Construction Materials
76-083 Vehicles and Machine Plaint.
Total Maintenance -Pumping Equip.
Tank Maintenance
a
ACTUAL ESTIMATED BUDGETED
1980-1981 1981-1982 1982 - 1983
34,188
7,012
1,597
42,797
48,103
6,400
5,800
60,308
45,000
9,000
7,000
61,000
77-054 Contractual Services 1,291 -0- -0-
77-083 Vehicles and Machine Maint. 101 -0- -0-
77-100 Miscellaneous -0- -0- _ _ -0-
Total Maintenance -Tanks 1,392 -0- -0-
Farmington and Greenland
80-001 Salaries and Wages 929 2,517 3,200
80-025 Construction Materials 65 -0- 150
80-083 Vehicles and Machine Maint. 155 • 425 500
Total Maint.-Farmington and
Greenland 1,149 2,942 3,850
Total Maintenance $ 152,597 $ 210,242 $ 199,780
TOTAL SEWER MAINTENANCE AND
COLLECTION BEFORE DEPRECIATION $ 216,625 $ 284,949
Depreciation
85-105 Depreciation Expense
GRAND TOTAL -SEWER MAINTENANCE
AND COLLECTION
276,305
$ 284,070
293,691 289,950
$ 492,930 $ 578,640
.i!
$ 574,070
WATER AND SEWER FUND
SEWER MAINTENANCE AND COLLECTION
PERSONNEL
SCHEDULE
NUMBER OF
EMPLOYEES
1980-1981
1981-1982
1982-1983
SALARY
Supervisor
1
1
1
$ 20,592
Maintenance Mechanic
1
1
1
20,520
Construction & Maintenance
Foreman 3
3
3
47,388
Light Equipment Operators
2
2
2
20,508
Distribution Person
1
1
1
9,072
Utility Service Leadman
2
2
2
27,840
Laborers
4
4
4
35,112
Total
II
14
14
14
181,032
Contingency
9,493
Fringe Benefits
28,395
Overtime
10,000
TOTAL SALARY
$228,920
18
Tn N
WATER AND SEWER FUND
SEWER MAINTENANCE AND COLLECTION
040-487
EXPLANATION OF ACCOUNTS
50-001 Salaries and Wages
This account is a clearing account for all straight salaries, contingency
for raises and promotions, fringe benefits and overtime. These are
distributed to Maintenance and Capital by the Work Order system. The
wages left are for bad weather and schooling.
50-009 Office Supplies
This account is now budgeted under Administration due to the small volume
of activity.
50-010 Minor Equipment
Includes: Chipping Hammer $400.00•
5 Oxygen regulators 750.00
Sewer tapping Bits 400.00
Miscellaneous tools 300.00
50-048 Travel and Training
Includes cost of two men to attend AWWPC monthly meetings and the short
school held in Hot Springs. These are required so they can keep their
licenses.
50-063 Telephone Expense
Reflects 12% increase in phone bill plus the regular monthly lease -
purchase payment.
50-064 Utilities
Includes a 10% increase.
75-001-
100 Sewer Mains Maintenance
Estimated from last years totals, which reflected an added emphasis
on this account.
77-083-
100 Tank Maintenance
This is no longer needed because the tanks were filled in and a parking
lot constructed.
,:
WATER AND SEWER FUND
SEWER MAINTENANCE AND COLLECTION
CONTINUED
040-487'
EXPLANATION OF ACCOUNTS
80-001-
083 Farmington and Greenland Maintenance
This account has increased the last two years because of an. opinion
from the City Attorney which stated the City was responsible for
maintenance per the original contract agreement.
75-012 Chemicals
Includes root control chemicals, degreasing and oxygen.
CAPITAL -SCHEDULE- See Capital Budget for details
ACTUAL
ESTIMATED
BUDGETED
1980-1981
1981-1982
1982 - 1983
CAPITAL 040-487
Street Repairs
94-001
Salaries and
Wages
$ -0-
$ -0-
$ -0-
94-025
Construction
Materials
-0-
-0-
-0-
94-083
Vehicles and
Machine
Maint.
-0-
-0-
-0-
Total
Street Repairs
-0-
-0-
-0-
Sewer
Mains
95-001
Salaries and
Wages
41,500
39,000
38,800
95-025
Construction
Materials
11,200
9,300
27,500
95-054
Contract Services
140,000
136,100
260,000
95-083
Vehicles and
Machine
Maint.
15,600
7,150
13,000
Total
Sewer Mains
208,300
191,550
339,300
Sewer
Connections
96-001
Salaries and
Wages
35,800
15,600
22,000
96-025
Construction
Materials
20,500
10,350
14,000
96-054
Contract Services
-0-
4,000
-0-
96-083
Vehicles and
Machine
Maint.
12,100
5,250
10,000
Total
Sewer Connections
68,400
35,200
46,000
WATER AND SEWER FUND
SEWER MAINTENANCE AND COLLECTION
EXPLANATION OF ACCOUNTS CONTINUED
040-487
CAPITAL BUDGET
ACTUAL ESTIMATED
1980-1981 1981-1982
Miscellaneous
99-200 Vehicles and Equipment
99-210 Easements
Total Miscellaneous
GRAND TOTAL SEWER MAINTENANCE AND
COLLECTION
BUDGETED
inn' ,nn-.
7,100
18,270
58,000
20,321
50,500
20,000
27,421
68,770
78,000
$ 304,121 $ 295,520 $ 463,300
21
WATER AND SEWER FUND
POLLUTION CONTROL PLANT
040-488
ACTUAL
ESTIMATED
BUDGETED
1980-1981
1981-1982
1982-1983
OPERATIONS
Labor and Expenses
50-001 Salaries and Wages
$ 198,639
$ 231,480
$ 248,535
50-009 Office Supplies and Printing
587
720
800
50-010 Minor Equipment
2,497
4,200
850
50-011 Cleaning Supplies
5,189
4,600
5,000
50-012 Chemicals
198,334
239,300
250,000
50-048 Travel and Training
1,091
720
2,500
50-051 Professional Services
22,050
2,300
3,000
50-063 Telephone Expense
2,625
2,875
3,850
50-064 Utilities
192,853
210,000
233,000
50-080 Buildings and Grounds Maint
6,719
6,950
7,000
50-082 Radio Maintenance
31
50
150
50-083 Vehicles and Machine Maint.
7,554
21,442
18,000
50-100 Miscellaneous
8,966
1,100
1,400
Total Operations
647,135
725,737
$ 774,085
MAINTENANCE
Plant Equipment
78-001 Salaries and Wages
$ 26,521
$ 25,500
$ 41,000
78-310 Plant Equipment Maintenance
34,024
39,300
30,000
Total Maintenance
60,545
64,800
71,000
TOTAL POLLUTION CONTROL PLANT
BEFORE DEPRECIATION
$ 707,680
$ 790,537
$ 845,085
Depreciation
85-105 Depreciation
106,850
102,543
111,015
TOTAL POLLUTION CONTROL PLANT
t814,530
$ 893,080
$ 956,100
22
WATER
AND SEWER
FUND
POLLUTION
CONTROL
PLANT
040-488
PERSONNEL SCHEDULE
NO..
OF EMPLOYEES
1980-81
1981-82
1982-83
AMOUNT
Plant Manager
1
1
1
$ 23,580
Chief Operator (Process Cont.)
1
1
1
14,040
Maintenance Chief
1
1
1
19,620
Equipment Repairman
1
1
1
13,680
Shift Operators
5
5
4
53,844
Sewer Plant Operator
3
3
3
26,220
Coilfilter Operator
1
1
1
10,920
Asst. Coilfilter Operator
1
1
1
9,300
*Solids Disposal Operator
0
0
1
14,040
Light Equipment Operator
1
1
1
11,220
Chief Chemist
1
1
1
18,960
Chemist
1
1
1
15,360
Part-time Chemist
0
1
1
1,800
Summer workers
2
2
2
4,320
Sub Totals
19
20
20
236,904
Contingency
I
12,351
Fringe Benefits
32,780
• Overtime
7,500
TOTAL
$289,535
1.
*This position approved in the
1982 pay
plan.
1
•V ii
Water And Sewer Fund
POLLUTION CONTROL PLANT
Explanation of Accounts
50-001
78-001
Salaries and Wages - Includes Present Salaries,
Estimated Overtime,
Fringe Benefits, and Contingency for Raises
and Promotions. The
Shift Operators title has been changed
to a Solids Disposal Operator
because it.describes the position more
clearly. This was passed in
the 1982 Pay Plan.
50-010
Minor Equipment - Includes hand tools,
a pager for manager and
normal minor equipment purchases.
50-012
Chemicals - This account was calculated
using estimated quantities
of chemicals and estimated unit prices.
The reason for the pro-
jected 35 percent increase in chemical
costs are: 1) Inflation,
and, 2) last year we disposed of much of
our sludge by land application
which did not require chemicals. Since
February, in response to an
inspection report by EPA, we have gone
to burying 100 percent of the
sludge after dewatering. This dewatering
does require the use of
chemicals, hence the higher chemical cost.
50-048
Travel and Training - AWWPC Conference
in Hot Springs, miscellaneous
.training schools, and trips in relation
to EPA {project.
50-051
Professional Services - Outside firms are
to perform sample testing
of sewage.
50-063
Telephone Expense - Includes 12 percent
increase in phone bill and a
possible extra radio loop.
50-080
Building and Grounds Maintenance - Includes
gravel for maintaining
roads, special painting and regular maintenance.
50-083
Vehicle Maintenance - Decreased due to
the replacement of older
equipment.
78-001
78-083 Plant Equipment Maintenance - This account, in addition to regular
maintenance, includes 2100. for Service Contracts. We are experiencino
rapidly increasing maintenance due to the age of the plant equipment.
CAPITAL SCHEDULE -SEE CAPITAL BUDGET FOR DETAILS
CAPITAL
Miscellaneous
99-200 Vehicles and Equipment
Total Miscellaneous
GRAND TOTAL POLLUTION CONTROL
PLANT CAPITAL
37,000
37,000
$ 37,000
$ 53,500
53,500
$ 53,500
$ 134,650
134,650
$ 134,650
t
WATER
AND SEWER FUND
CUSTOMER ACCOUNTING
AND COLLECTION
040-489
ACTUAL
ESTIMATED
BUDGETED
1980-1981
1981-1982
1982-1983
OPERATIONS
Meter
Reading
56-001
Salaries and Wages
$ 32,900
$ 50,845
$ 63,082
56-002
Cost Allocation
17,716
30,300
52,722
56-009
Office Supplies and Printing
47
180
130
56-010
Minor Equipment
127
870
1,200
56-048
Travel and Training
145
100
-0-
56-063
Telephone Expenses
-0-
-0-
-0-
56-080
Building and Grounds Maint.
5
60
100
56-082
Radio Maintenance
499
680
600
56-083
Vehicles and Machine Maint.
3,036
5,171
6,600
Total
Meter Reading
54,475
88,206
124,434
Customer
Accounting and Collection
57-001
Salaries and Wages
52,251
52,851
55,387
57-002
Cost Allocation
28,135
82,357
42,387
57-009
Office Supplies and Printing
2,483
3,265
3,700
57-010
Minor Equipment
591..
1,560
1,600
57-044
Dues and Publications
275
135
150
57-048
Travel and Training
356
320.
250
57-049
Postage
21,529
29,000
30,000
57-051
Professional Services
105,163
77,225;
83,000
57-052
Audit Expense
12,900
4,825
10,000
57-063
Telephone Expense
2,863
2,500
3,200
57-070
Colleciton Expense
1,602
740
2,000
57-080
Building and Grounds Maint.
58
-0-
100
57-081
Office Machine Maint.
63
220
300
57-083
Vehicle and Machine Maint.
6,222
5,700
6,400
57-100
Miscellaneous Expense
181
440
800
57-106
Bad Debt Expense
-0-
19,000
19,000
Total
Customer Accounting and
Collection
234,672
280,138
258,274
Inventory
59-001
Salaries and Wages
14,862
17,182
20,216
59-009
Office Supplies and Printing
-0-
-0-
-0-
59-025
Construction Materials
-0-
-0-
-0-
Total
Operations Inventory
14,862
17,182
20,216
Total Operations $ 304,009 $ 385,526
$ 402,924
WATER AND SEWER FUND
CUSTOMER ACCOUNTING AND COLLECTION
CONTINUED
040-489
ACTUAL ESTIMATED BUDGETED
1980-1981 1981-1982 1982-1983
MAI NTENANCE
Meters
72-001 Salaries and Wages
$
24,437
$
32,111
$
39,424
72-002 Cost Allocation
13,158
8,478
30,827
72-009 Office Supplies
32
140
150
72-010 Minor Equipment
93
210
275
72-025 Construction Materials
4,158
4,500
5,200
72-048 Travel and Training
92
-0-
-0-
72-080 Building and Grounds Maint.
68
1
75
72-083 Vehicle and Machine Maint.
1,096
1,308
900
Total Maintenance
43,134
46,748
76,851
TOTAL OPERATIONS AND MAINTENANCE
BEFORE DEPRECIATION
$
347,143
$
432,274
$
479,775
Depreciation
85-105 Depreciation Expense
35,485
35,485
39,465
GRAND TOTAL CUSTOMER ACCOUNTING
AND COLLECTION
$
382,628
$
467,759
$
519,240
WATER AND SEWER FUND
CUSTOMER ACCOUNTING AND COLLECTION
040-489
PERSONNEL SCHEDULE
NUMBER OF EMPLOYEES
1981-82 1982-83
PRESENT
ANNUAL SALARY
Water Meter Service Foreman
1
1
$
18,649
Water Meter Maintenance Foreman
1
1
14,937
Meter Repair Person
1
1
10,551
Meter Reader II
0
2
24,200
Meter Reader I
3
1
9637
Utility Service Representative
2
2
30,766
Warehouse Manager
1
1
15,459
Clerk III
1
1
9,623
Overtime
8,300
Fringe Benefits
21,395
Contingency
14,592
TOTAL SALARY
10.
10
$
178,109
Cost Allocation
$
125,936
GRAND TOTAL
$
304,045
Water and Sewer Fund
CUSTOMER ACCOUNTING AND COLLECTION
040-489
Explanation of Accounts
56-001
57-001
59-001
72-001 Salaries - Includes the same number of personnel as the previous
year. Also included is the promotion of two Meter Reader I's to
the Meter Reader II Position.
The promotion of the two Meter Reader I's to the Meter Reader II
position is to compensate these men for their invaluable knowledge
of the City and the other duties of the Customer Accounting and
Collection Department obtained through their three years of service
to the City. At the three year point they can complete their duties
without the need of supervision, and we feel it would be an injustice
to deny this promotion. (The next advancement is to Utility Service
Representative).
56-010 Minor Equipment - Includes:
1) Caution light and mounting bar $ 450
2) External Speaker 60
3) Tool Box 125
4) Tapes 50
5) Miscellaneous Tools 515
1200
57-010 Minor Equipment - Includes:
1) 30 Pad Locks $ 90
2) 30 Locking Devices 150
3) Magnetic Locator 55
4) 3 Electronic Calculators 700
5) Weedeater 300
6) Miscellaneous Tools 305
1600
57-048 Travel and Training - Reflects the cost of miscellaneous AWWA and
PCA trips.
72-010 Minor Equipment - Includes miscellaneous tools $ 275
56-083 Meter Reading Vehicle Maintenance - Reflects increase due to inflation
and the transferring of one vehicle from 72-083 (Meter Maintenance).
2�
Water and Sewer Fund
CUSTOMER ACCOUNTING AND COLLECTION
040-489
Explanation of Accounts Continued
57-083 Customer Accounting and Collection Vehicle Maintenance - Reflects
increase due to inflation.
72-083 Meter Maintenance Vehicle Maintenance - reflects decrease due to
transferring one vehicle to 56-083.
57-052 Audit Expense - Reflects the cost of an independent audit. The
1982-83 budget reflects an increase because part of the 1981-82
audit was paid out of 1980-81 budget.
CAPITAL SCHEDULE- See Capital Budget for Schedule.
ACTUAL
ESTIMATED
BUDGETED
1980-1981
1981-1982
1982-1983
CAPITAL 040-489
Miscellaneous
99-200 Vehicles and Equipment
$ 25,426
$ 14,230
$ 26,325
99-110 Building Cost
-0-
-0-
10,000
99-225 Water Meters
12,083
17,800
27,635
Total
37,509
32,030
63,960
GRAND TOTAL -CUSTOMER ACCOUNTING
AND COLLECTION
$ 37,509
$ 32,030
$ 63,960
29
Water and Sewer Fund
CUSTOMER ACCOUNTING AND COLLECTIONS
040-489
NARRATIVE
OBJECTIVE:
Customer Accounting and Collections is under the supervision of the Finance Department.
This section consists of three divisions; Meter Reading, Business Office, and Warehouse.
The Meter Reading Division consists of a Meter Service Foreman, Customer Service
Representatives, Meter Maintenance Foreman, Meter Repairman, and Meter Readers. This
division is responsible for assigning account numbers to new water, sewer, and sanitation
accounts, turn -on orders, turn-off orders, delinquent accounts, meter test orders, re-
reads, meter changeouts, meter maintenance, meter testing, meter box and lid maintenance,
installing and maintaining remote reading systems, meter reading, and customer service
related problems.
At the end of fiscal year 1981-82 there will be approximately 14,100 active and inactive
water and sewer accounts. This 14,100 active and inactive water and sewer accounts will
include approximately 750 active and inactive growth area water accounts. At the end of
fiscal year 1981-82, the Meter Reading Division will work approximately 4500 turn -on
orders, 4100 turn-off orders, 150 test orders, 5800 re -reads, 1100 meter changeouts,
4600 miscellaneous jobs, 2000 delinquent accounts, 1200 meter repairs, 1700 meter tests,
and 161,500 meter reads. At the end of fiscal year 1982-83 there will be approximately
14,300 active and inactive water and sewer accounts. This 14,300 water and sewer accounts
will include approximately 850 active and inactive growth area water accounts. At the
end of fiscal year 1982-83, the Meter Reading Division will work approximately 4600 turn -
on orders, 4200 turn-off orders, 250 test orders, 6000 re -reads, 700 meter changeouts,
6000 miscellaneous jobs, 2200 delinquent accounts, 300 meter repairs, 900 meter tests,
and 162,300 meter reads. The Business Office Division consists of Business Office Manager,
Clerk V, Clerk III, Cashiers, and PBX Operator/Receptionist. This division is responsible
for receiving water, sewer, and sanitation payments from customers; receiving and pro-
cessing turn -on, turn-off, and transfer orders; answering customer questions about water,
sewer, and sanitation bills; processing of final bills and deposit refund checks; dis-
patching turn -on, turn-off, and reconnect orders to the meter division; updating delinquent
account list; making corrections in water, sewer, and sanitation bills; balancing and
auditing daily cash receipts; preparing file maintenance and meter reading books for data
processing; preparing end of month reports and summaries; and operating switchboard.
At the end of fiscal year 1981-82, the Business Division will receive and process
approximately 161,000 water, sewer, and sanitation payments; 8600 turn -on, turn-off, and
transfer orders; 2300 correct account orders; 550 meter test orders and re -check reading
orders; 1300 meter service orders; 12,100 miscellaneous receipts; and 750 return checks.
At the end of fiscal year 1982-83, the Business Office Division will receive and process
162,000 water, sewer, and sanitation payments; 4800 turn -on, turn-off, and transfer orders;
3,000 correct account orders; 600 meter test orders and re -check reading orders; 800
meter service orders; 12,400 miscellaneous receipts; and 800 return checks.
The Warehouse Division consist of a Warehouse Manager. This division orders, inventories,
issues, and receives material used in the operation of the Water and Sewer Department.
WATER AND SEWER FUND
ADMINISTRATION AND ENGINEERING
040-490
ACTUAL
ESTIMATED
BUDGETED
1980-1981
1981-1982
1982 - 1983
OPERATIONS
Labor
and Expenses
50-001
Salaries and Wages
$
111,010
$
99,150
$
138,485
50-002
Cost Allocation
-0-
71,130
119,189
50-009
Office Supplies & Printing
350
4,370
4,500
50-010
Minor Equipment
209
1,200
800
50-040
Advertising
326
220
500
50-041
Clothing Allowances
3,170
5,230
6,600
50-044
Dues and Publications
949
1,425
1,500
50-048
Travel and Training
2,996
6,875
2,500
50-051
Professional Services
591,417
177,500
317,000
50-063
Telephone Expense
3,148
3,450
4,100
50-064
Utilities
-0-
-0-
50-065
Insurance -Vehicles & Buildings
15,960
11,850
12,000
50-066
Insurance -Health
3,338
3,500
3,840
50-067
Insurance -Self
135
14,560
2,000
50-068
Pension Contribution -Employee
3,766
10,644
5,200
50-071
Unemployment Insurance
3,742
1,200
3,000
50-072
Social Security Taxes
7,707
8,300
9,280
50-075
Rent
10,085
11,000
11,000
50-081
Office Machine Maintenance
168
140
200
50-082
Radio Maintenance
94
240
250
50-083
Vehicles and Machine Maint
( 8,372)
( 758)
2,000
50-100
Miscellaneous Expense
339
60,750
500
50-120
E.P.A. Grand Reimbursable
-0-
4,350
-0-
50-052
Audit Expense
-0-
-0-
-0-
Total
Operations and Maintenance
Before Depreciation
$
750,537
$
496,326
$
644,444
Depreciation
85-105
Depreciation Expense.
3,089
2,388
2,420
GRAND TOTAL
ADMINISTRATION AND
ENGINEERING
$
753,626
$
498,714
$
646,864
3a
WATER AND SEWER FUND
ADMINISTRATION AND ENGINEERING
040-490
PERSONNEL SCHED
NUMBER
OF
EMPLOYEES
1980-198 1981-1982
1982-1983
SALARY
City Engineer/W & S Superintendent
1
1
1
$ 30,420
Assistant CiLy Engineer
1
1
1
22.,800
Chief Draftsman
1
1
1
15,960
Draftsperson I
1
1
1
10,450
Engineering Aide
1
1
1
12,660
Clerk V
1
1
1
12,840
Utility Service Inspector
1
1
1
13,020
Land Agents
2
2
2
12,480
Total
9
9
9
130,630
Contingency
7,855
Cost Allocation
119,189
GRAND TOTAL
$257,674
I
Water and Sewer Fund
ADMINISTRATION AND ENGINEERING
040-490
Explanation of Accounts
50-001 Salaries and Waoes - Includes present salaries plus contingency
for raises.
50-009 Office Supplies - Reflects purchase of supplies for Administration
as well as T & 0 and S M & C.
50-010 Minor Equipment - Reflects miscellaneous purchases and these special
items:
Three Calculators $ 500.00
Survey Equipment $ 200.00
50-044 Publications and Dues - Includes dues to AWWA, WPCF, Water and Sewer
Licenses, and miscellaneous trade journal subscriptions.
50-048 Travel and Training - Includes
1 AWWPC Conference in Hot Springs
2) Several trips to Little Rock and Dallas
3) National AWWA Conference
50-051 Professional Services - The $ 317,000 includes Land Application Study
.$ 125,000, completion of the Facility Plan which could cost from $ 0
to $ 100,000 depending on decision of type of plan needed, $ 50,000
Lake Fayetteville Dam Study $ 37,000, Sewer Rate Study, and, $ 5,000
NWARPC.
50-100 Miscellaneous Expense - The $ 60,750 in fiscal year 1981-82 includes
the repayment to HUD of interest on early draw downs•of Urgent Needs
Grant money in the years 1972 through 1977.
CAPITAL SCHEDULE -See Capital Budget for Details.
ACTUAL
ESTIMATED
BUDGETED
1980-1981
1981-1982
1982 - 1983
CAPITAL 040-490
Miscellaneous
99-120 EPA Grant Reimbrusable
$ -0-
$ -0-
$ 0-
99-121 Construction of Pollution
Control Plant
-0-
-0-
440,000
99-200 Vehicles and Equipment
9,210
-0-
30,000
Total
9,210
-0-
470,000
GRAND TOTAL ADMINISTRATION AND
ENGINEERING
$ 9,210
$ -0-
$ 470,000
33
4
WATER AND SEWER FUND
DEBT SERVICE RESERVE
040-492
ACTUAL
ESTIMATED
BUDGETED
1980-1981
1981-1982
1982-1983
35-092
Trans. to Revenue Bond Fund
$ -0-
$ -0-
$ -0-
35-100
Miscellaneous Expense
-0-
-0-
-0-
35-101
Paying Agent Fees
-0-
900
900
35-102
Interest Expense
487,376
469,900
463,068
35-134
Bond Discount Amortiz.
20,654
20,654
20,654
Total
Debt Service Expense
$ 508,030
$ 491,454
$ 484,622
u4
:r.
WATER AND SEWER FUND
NOTE
CAPITAL
I982\ -
BUDGET
1983 II
CAPITAL EXPENDITURES ARE ADDED,
TO FIXED ASSETS AND A DEPRECIATION
CHARGE IS GIVEN TO OPERATIONS.
WATER AND SEWER FUND
WATER SUPPLY AND TREATMENT
040-485
ACTUAL
1980-1981
CAPITAL
99-220 Fluoridation $ 104,000
Total Capital Miscellaneous 104,000
ESTIMATED BUDGETED
1981-1932 1982 - 1983
$ 35,270 $ -0-
35,270 -0-
JJ
WATER AND SEWER FUND
TRANSMISSION AND DISTRIBUTION
040-486
ACTUAL
ESTIMATED
BUDGETED
1980-1981
1981-1982
1982 - 1983
CAPITAL
Water
Service Connections
89-001
Salaries and Wages
$ 31,000
$ 18,138
$ 22,000
89-025
Construction Materials
37,500
16,520
22,000
89-083
Vehicle and Machine Maint.
11,000
5,800
11,000
89-100
Miscellaneous
-0-
-0-
-0-
Total
Water Service Connections
79,500
40,458
55,000
Growth
Area Connections
90-001
Salaries and Wages
6,350
4,542
6,000
90-025
Construction Materials
4,800
1,580
2,200
90-083
Vehicles and Machine Maint.
2,400
1,370
2,500
90-100
Miscellaneous
-0-
-0-
-0-
Total
Growth Area Connections
13,550
7,492
10,700
Water
Mains
91-001
Salaries and Wages
20,000
30,996
44,500
91-025
Construction Materials
6,350
51,330
61,200
91-054
Contract Services
402,288
223,540
572,000
91-083
Vehicles and Machine Maint.
8,500
4,500
11,800
91-100
Miscellaneous
1,080
-0-
-0-
Total
Water Mains
438,218
310,366
689,500
Street
Repairs
94-001
Salaries and Wages
8,500
7,572
10,000
94-025
Construction Materials
20,500
22,300
35,000
94-083
Vehicles and Machine Maint.
3,000
3,200
5,000
Total
Street Repairs
32,000
33.,072
50,000
Miscellaneous
99-200
Vehicles and Equipment
60,500
10,570
53,100
99-210
Easements
( 5,336)
6,050
25,000
Total
Miscellaneous
55,164
16,620
78,100
GRAND TOTAL
TRANSMISSION AND
DISTRIBUTION
CAPITAL
$ 618,432
$ 408,008
$ 883,300
,3 t)
4
WATER AND SEWER FUND
TRANSMISSION AND DISTRIBUTION
040-486
EXPLANATION OF ACCOUNTS
89-001-
100 Water Connections
These items are estimated from our 1981-82 experience. We would
expect to make less than 150 new taps this year.
90-001-
100 Growth Area Connections
These items are estimated from our 1981-82 experience.
91-001-
100 New Mains
See explanation of projects.
94-000-
100 Street Repairs
Includes building of maintenance road at Lake Fayetteville Dam to be
used to facilitate continuous maintenance program of the dam.
99-200 Equipment and Vehicles
This includes:
99-210 Easements
a) Replacement Dump Truck $29,000
b) Replacement Flatbed 19,000
c) Pipe locator 1,000
d) Hydraulic Cutters for C.I. 1,300
e) Cutters for Ductile Iron 1,300
f) Tapping Machine 600
g) 10 covers for trusles 900
Includes settlement of prior condemnations, acquisitions of easements
for miscellaneous projects.
31
WATER AND SEWER FUND
TRANSMISSION AND DISTRIBUTION
040-486
EXPLANATION OF PROJECTS
WATER MAINS
1.
Relocation, Highway 62 from
Bypass through Farmington.
(Carryover from 1981-1982)
$530,000
The purpose of this project is to clear the Highway 62 with our water
lines. The above cost includes
construction and engineering super-
vision during construction.
This project is under contract.
2.
Relocation, Razorback Road
42,000
The purpose of this project
is to clear the Highway 16 right-of-way
with our lines to allow for
new construction. This project is located
between Highway 62 and 15th
Street. The cost given includes construction
and engineering. This project
required by State Highway Department.
3.
Farmington -Highway 16 Loop
66,000
This will provide a two-way
feed into Farmington and will reinforce
our growth area system.
4.
Relocation, Gregg Street
18,500
The purpose of this project
is to clear the Highway Department's
construction on Gregg Street
north of North Street. This project is
required by Highway Department.
5.
Old Wire Road Oversizing
25,000
The purpose of this project is to proved water service to residents
along Old Wire Road in the growth area. The participating residents
will pay the cost of a line to serve them and we propose to oversize
the line to a 6 inch. Our cost will be $25,000 or less, depending on
how many residents participate. If the project should go over the
estimated cost, we will seek Board approval prior to the beginning
of construction.
6. Miscellaneous 8,000
This would include small water line extensions, services prior to
paving and line replacements.
3n
PROJECT
1.
Relocation,
Hwy. 62*
from Bypass
thru
Farmington
(c)
(carryover)
2.
Relocation,
Razorback
Road ** (c)
3.
Farmington -Hwy
16 Loop
(f.a.)
4.
Relocation
Gregg Street
(f.a.)
5.
Old Wire Road
Ext.
oversizing
(f.a.)
6.
Miscellaneous
(f.a.)
TOTAL
*Under contract
**Required by Highway Department
WATER MAINS SUMMARY
PROJECT COST LABOR
$ 530,000
42,000
66,000
18,500
25,000
8,000
$ 689,500
MATERIALS EQUIPMENT
$ -0-
$ - . -0-I1. .
$ -0-
-0-
-0-
-0-
21,000
40,000
5,000
12,500
3,000
3,000
8,000
14;000
3,000
3,000
4,200
800
$44,500
$61,200
$11,800
6
WATER AND SEWER FUND
SEWER MAINTENANCE AND COLLECTION
CONTINUED
040-487
ACTUAL
1980-1981
CAPITAL
Street Repairs
94-001 Salaries and Wages $ _0-
94-025 Construction Materials -0-
94-083 Vehicles and Machine Plaint. -0-
Total Street Repairs 0 -
Sewer Mains
95-301 Salaries and Wages 41,500
95-025 Construction ;iaterials 11,200
95-054 Contract Services 140,000
95-083 Vehicles and Machine Maint. 15,600
Total -Sewer Mains 208,300
Sewer Connections
96-001 Salaries and Wages 35,800
96-025 Construction Materials 20,500
96-054 Contract Services -0-
96-083 Vehicles and Machine Maint. 12,100
Total -Sewer Connections 68,400
Miscellaneous
99-200 Vehicles and Equipment
99-210 Easements
Total Miscellaneous
GRAND TOTAL -SEWER MAINTENANCE
AND COLLECTION
7,100
20,321
27,421
$ 304,121
ESTIMATLU
1981-1982
40,340
9,300
136,100
7,150
192,890
16,136
1Q,350
4,000
5;250
35,736
18;270
50,500
68,770
$ 297,396
BUDGETED
1982 -_1983
$ 0-
0-
0-
-0-
38,800
27,500
260,000
13,000
339,300
22,000
14,000
-0-
10,000
46,000
58,000
20,000
78,000
$ 463,300
2t)
WATER AND SEWER FUND
SEWER MAINTENANCE & COLLECTION
ITAL EXPENDITURES
Acct. 95-001 - 95-100
New Sewer Mains - See explanation of projects.
Acct. 94-001 - 94-100
Street Repair- All charges for street repair are made in Transmission and Distribution.
Acct. 96-001 - 96=100
Sewer Connections -These items are estimated from 1981-82 experience. We would
expect to make less than 150 new sewer taps this'year.
Acct. 99-200
• Capital Equipment - This includes: a)
Replacement
Dump Truck --
$29!,000
b)
Replacement
Flat Bed --
19,000
c)
Replacement
lawn mower --'
1,000
d)
Air Hammer
--
1,,000
e)
Replacement
truck (330)--
8,000
Total $58,000
SEWER MAINS
1. Sewer Rehabilitation (F.A. & C) $58,800 and $260,000
The purpose of this project is to demonstrate the effectiveness and feasibility
of the planned rehabilitation program. Under this program we will do the point
source repairs and line segment replacements in six (6) mini -systems representing
various ages and types of sewer line construction. Monitoring will be done before
and after construction to determine the effectiveness of the repairs.
Information gained from this program will be used to determine future rehabili-
tation efforts.
Approximately $58,800 will be on force account and $260,000 will, be on contract.
2. Relocation, Gregg St. (f.a.) $10,500
The purpose of this project is to move sewer lines to allow for improvements
on Gregg Street North of North Street.
3. Miscellaneous - $10,000
This includes short extensions, taps prior to paving and crossings prior to
paving.
41
SEWER MAINS SUMMARY
PROJECT
la. Sewer Rehabilitation (f.a.)
lb. Sewer Rehabilitation (c)
2. Relocation Gregg Street
(f.a.) (carryover)
3. Miscellaneous (f.a.)
TOTAL
I
PROJECT
COST
$ 58,800
260,000
10,500
10,000
..$339,300
LABOR MATERIALS EQUIPMENT
$28,800 $19,500 $10,500
-0- -0- -0-
5,000 4,000 1,500
5,000 4,000 1,000
$38,800 $27,500 $13,000
Iat
WATER AND SEWER FUND
POLLUTION CONTROL PLANT
040-488
F
6
CAPITAL
Miscellaneous
99-200 Vehicle & Equipment
Total Miscellaneous
GRAND TOTAL -PCP CAPITAL
ACTUAL
1980-1981
$ 37,000
37,000
$ 37,000
EXPLANATION OF ACCOUNTS
92-200 Vehicles & Equipment Purchases
Plant Effluent Sampling Pump*
Replacement Unit for 360 (Pickup)
Automatic Sampler
450 C Dozer
Replacement Backhoe for 1977 Model
Replace coilfilter blowers
Replace vacuator blowers
2 -way portable radio unit
Registered thermometer
DO Probe
pH Meter replacement
Shelves for Maintenance area
Total
ESTIMATED
1981-1982
$ 53,500
53,500
$ 53,500
*Recommended by the EPA report on our plant in February 1982.
BUDGETED
1982-1983
$ 134,650
134,650
S 134.650
$ 3,000
8,000
2,500
40,000
42,000
30,000
3,500
900
500
650
600
3,000
$134,650
43
WATER AND SEWER FUND
CUSTOMER ACCOUNTING AND COLLECTION
040-489
ACTUAL ESTIMATED BUDGETED
1980-1981 1981-1982 1982-1983
CAPITAL
Miscellaneous
99-200 Vehicles and Equipment
99-110 Building Cost
99-225 Water Meters
Total Miscellaneous
$ 25,426 $ 14,230 $ 26,325
-0- -0- 10,000
12,083 17,800 27,635
37,509 32,030 63,960
GRAND TOTAL -CUSTOMER ACCOUNTING AND
COLLECTION $ 37,509 $ 32,030 $ 63,960
4 `f
CAPITAL IMPROVEMENT
1982-1983
WATER METERS - 98-000
NO.
UNIT
TOTAL
ITEM
NEEDED
COST
COST
5/8" & 5/8" x 3/4" Water Meter-P.D.
600
$ 32
$19,200
1" Water Meter-P.D.
15
90
1,350
1z" Water Meter-P.D.
6
200
1,200
2" Water Meter-P.D.
1
250
250
2" Water Meter -Comp.
2
575
1,150
2" Water Meter -Turbo
3
420
1,260
3" Water Meter -Comp.
1
875
875
3" Water Meter -Turbo
2
575
1,150
3" Water Meter-F.H.
1
400
400
Generator Remote-P.D.
20
22
440
Generator Remote -Turbo
4
75
300
Generator Remote -Comp.
2
30
60
Total Water Meters 99-225 $27,635
CAPITAL IMPROVEMENT
1982-1983
VEHICLE AND EQUIPMENT - 99-200
Acct. No. 99-200
Vehicle and Equipment purchase - Replacement of one 1977 Datsun which needs a considerable
amount of repairs to body and drive train. This vehicle
is on limited service because of its condition.
Replacement of
one
1977 Regency two-way
radio
which has
a history of high
maintenance cost and
it is
unreliable
TOTAL
$ 8,325
Estimated cost of possible communications system. This
includes one extra frequency as requested by City Engineer.
TOTAL
Acct. No. 99-210
$18,000
Building Cost - This account reflects the estimated cost to build 6 cement slabs
20 feet by 20 feet -12 inches thick. To be used for storing inventory
in the pipe yard.
ac
WATER AND SEWER FUND
ADMINISTRATION AND ENGINEERING
040-490
CAPITAL
Miscellaneous
99-120 EPA Grant Reimbursable
99-121 Construction of Pollution
Control Plant
99-200 Vehicles and Equipment
Total Miscellaneous
GRAND TOTAL ADMINISTRATION AND
ENGINEERING
ACTUAL
1980-1981
$ -0-
-0-
9,210
9,210
!_9,210
ESTIMATED BUDGETED
1981-1982 1982-1983
$ -0- $ -0-
-0-
-0-
-0-
$ -0-
440,000
30,000
470,000
$ 470,000
EXPLANATION OF ACCOUNT
99-200 Vehicles and Equipment Reflects cost of replacing the communication
system for Water & Sewer. This will only be
considered if the communication system for the
whole city is replaced.
99-121 Construction of Pollution Control Plant
This covers the cost we anticipate of the
Step II Engineering to be completed in this
fiscal year.
fl;
II
SANITATION
BUDGET
CITY OF FAYETTEVILLE,
ARKANSAS
I
.. .. _. .. ... _... .L I-. a-rJV..br-: w� a.... C -.v rCr:4rYLa.v'
SANITATION FUND 1982-83
TABLE OF CONTENTS
PAGE
Sanitation
Fund
- Projected Fund Equity -Schedule "A" 1
Sanitation
Fund
- Revenue and Expenses Summary -Schedule "B" 2
Sanitation
Fund
- Statement of changes in Operating Fund Cash -Schedule "C" 3
Sanitation
Fund
- Notes
4
Sanitation
Fund
- Revenue Detail
5
Sanitation
Fund
- Sanitation Service Operations
6-7
Sanitation
Fund
- Personnel Schedule
8
Sanitation
Fund
- Sanitation Service Operations Explanation of Accounts
9
Sanitation
Fund
- Animal Shelter Operations
10
Sanitation
Fund
- Animal Shelter Operations -Explanation of Accounts
11
Sanitation
Fund
- Capital Budget
12
Sanitation
Fund
- Capital Budget Explanation of Accounts
13
Sanitation
Fund
- Schedule of Capital Purchases -Sanitation Service
Operations
Projected For Five Years
14
Sanitation
Fund
- Fixed Assets
15
Sanitation
Fund
- Collection Revenue Breakdown
16
SCHEDULE "A"
CITY OF FAYETTEVILLE, ARKANSAS
SANITATION FUND
PROJECTED FUND EQUITY
FOR THE YEARS ENDED JULY 31, 1983; 1982; and 1981
RETAINED
CONTRIBUTION
TOTAL
BALANCE
-July 31, 1981
$ 209,544
$ 714,226
$ 923,770
Net
Income (Schedule B)
(10,465)
75,877
65,412
CONTRIBUTIONS
BALANCE
- July 31, 1982
199,079
790,103-
989,182
Net
Income (Schedule B)
-0-
56,183
56,183
CONTRIBUTIONS
BALANCE
July 31, 1983
$ 199,079
$ 846,286
$1,045,365
1
SCHEDULE "B"
CITY OF
FAYETTEVILLE, ARKANSAS
SANITATION FUND
REVENUE
AND EXPENSES SUMMARY
FOR THE YEARS ENDING
JULY 31, 1983; 1982;
and 1981
ACTUAL
ESTIMATED
BUDGETED
1980-81
1981-82
1982-83
OPERATING REVENUES (050-3)
3331 Sanitation Fees
$1,187,898
$1,303,438
$1,453,814
3332 Extra Pick-up Fees
4,579
4,480
4,500
3160 Animal Licenses
1,922
206
-0-
3333 Animal Shelter
2,424
668
-0-
3600 Miscellaneous
693
137
150
Total Operating Revenues
1,197,516
1,308,929
.1,458,464
OPERATING EXPENSES (050-4)
Sanitation Service Operations
967,851
1,116,633
1,325,858
Animal Shelter Operations
59,103
25,318
-0-
Total Operating Expenses
1,026,954
1,141,951
1,325,858
NET OPERATING INCOME (LOSS)
BEFORE DEPRECIATION
170,562
166,978
132,606
LESS DEPRECIATION OF PROPERTY AND
EQUIPMENT
129,339
148,1.01
128,123
NET OPERATING INCOME (LOSS)
41,223
18,877
4,483
NONOPERATING INCOME (050-3)
3350 Gain. on Sale of Equipment
Vehicles and Building
-0-
15,000
7,700
3500 Interest Income
18,932
42,000
44,000
Total Norioperating Revenues
18,932
57,000
51,700
NET INCOME (LOSS) TO RETAINED
EARNINGS (SCHEDULE A)
$ 60,155
$ .75,877
$ 56,183
2
SCHEDULE "C"
CITY OF FAYETTEVILLE, ARKANSAS
SANITATION FUND
STATEMENT OF CHANGES IN OPERATING FUND CASH
FOR THE YEARS ENDED JULY 31, 1983; 1982; and 1981
CASH
INVESTMENTS
TOTAL
BALANCE July 31, 1981 -
$ 32,420
$
407,700
$
440,120
Operating Income (Loss)
Before Depreciation
166,978
166,978
Other Revenue
57,000
57,000
Purchase of Investments
(185,000)
185,000
-0-
Maturities of Investments
136,000
(136,000)
-0-
Increase in Accounts Rec.
(5,557)
(5,557)
Decrease in Accrued Interest
46,855
46,855
Decrease in Notes Rec.
15,000
15,000
Increse in PrePaid
(1,921)
(1,921)
Decrease in Lodal Inventory
4,643
4,643
Increase in Accounts Pay.
10,369
10,369
Decrease in Due to Other
Funds
(43,584)
(43,584)
Decrease in Accrued Pay -
Roll
(760)
(760)
Purchase of Equipment
172,003)
(172,003)
Balance July 31, 1982
$ 60,440
$
456,700
$
517,140
Operating Income (Loss)
Before Depreciation
132,606
132,606
Purchase of Investments
(450,000)
450,000
-0-
Maturities of Investments
337,700
(337,700)
-0-
Purchase of Equipment
(117,000)
(117,000)
Other. Revenues
51,700
51,700
Balance July 31, 1983
$ 15,446
$
569,000
$
584,446
L . 4
CITY OF FAYETTEVILLE, ARKANSAS
SANITATION FUND
FOR THE YEARS ENDING JULY 31, 1983; 1982; and 1981
NOTES
1. Basis of Accounting: The Sanitation Fund is an enterprise fund, and the
records are maintained on the Accrual Basis of Accounting.
2. Fixed Assets and Depreciation: Property, plant and equipment is capitalized
when purchased, constructed or contributed. Depreciation is provided using
the straight-line method over the useful life of the related asset. Deprecia-
tion rates are summerized as follows:
Estimated Useful
Life
Buildings & Structures 25 years
Machinery & Equipment 10 years
Vehicles 5 years
Furniture & Fixtures 10 years
3. Cash Flow: This year we will start with a $517,140 balance which will increase
to $584,446. This is adequate but not excessive due to the large amount
of capital purchases needed in the next four years, the solid waste study,
and the construction of the incinerator. The solid waste incinerator has a
total estimated cost of 12 million dollars. The Northwest Arkansas Resource
Recovery Authority will purchase this either through a bond issue or by
private industrial financing. Either way, the City will pay a fee to the
Authority which will cover capital and operational costs of the incinerator.
1983-84 1984-85 1985-86 1986-87
Capital 131,000 $247,400 $1 089 00 $4 13688:
Study 233,100 -0- -0- -O
$364,100 $247,400 $198,000 $463,188
4. Personnel: The budgeted personnel reflects for the second year the reduction
of one leadman and one truck driver. This will result in two routes being
absorbed into the other existing routes and will make the incentive system
more reasonable. The budgeted Sanitation Operations salaries and wages reflects
a 10% contingency to cover raises.
5. Professional Services: Includes $140,000 for completion of Phase II and Phase
III of the steam generating incinerator. $68,000 is estimated to draw up and
implement waste flow contracts.
6. Sanitation Pick-up Fees: Reflects the proposed10% increase based on 10 months
collection.
7. Animal Control: Animal Shelter Operations were totaly transferred to the General
Fund as of January 1, 1982 with the supervisory control remaining with the
Sanitation Supervisor.
V
-. SCHEDULE "D"
- _y
CITY OF FAYETTEVILLE, ARKANSAS
SANITATION -REVENUE DETAIL -OPERATING, NONOPERATING & CAPITAL
FOR YEARS ENDING JULY 31, 1983, 1982, and 1981
ACTUAL
1980-81
ESTIMATED BUDGETED
1981-82 1982-83
OPERATING REVENUES
Sanitation Fees
$1,187,898
$1,303,438
$1,453,814
;;. Extra Pick-up Fees
4,579
4,480
4,500
Animal Licenses
1,922
206
-0-
Animal Shelter
2,424
668
-0-
Miscellaneous and Other
693
137
150
Total Operating Revenues
1,197,516
1,308,929
1,458,464
NONOPERATING REVENUES
Sale of Equipment
Interest Income
Total Nonoperating Revenues
CAPITAL REVENUES
Contributions
Total Capital Revenues
-0-
18,932
18,932
0-
0 -
GRAND TOTAL $1,216,448
15,000 7,700
42,000 44,000
57,000 51,700
-0- -0-
-0- -0-
$1,365,929 $1,510,164
5
CITY OF FAYETTEVILLE, ARKANSAS
SANITATION FUND
SANITATION SERVICE OPERATIONS
FOR THE YEARS ENDING JULY 31, 1983; 1982; and 1981
050-480
ACTUAL
ESTIMATED
BUDGETED
1980-81
1981-82
1982-83
SANITATION SERVICE OPERATIONS
Personnel Salaries
10-001
Salaries & Wages
$ 479,530
$ 518,000
$ 540,483
10-002
Cost Allocation
103,650
115,600
118,412
Total Sanitation Fund Salaries
583,180
633,600
658,895
Materials & Supplies
15-009
Office Supplies & Printing
373
80
300
15-010
Minor Equipment
2,758
3,000
4,200
15-011
Cleaning Supplies
129
900
900
15-012
Chemicals
70
100
150
Total Materials & Supplies
3,330
4,080
5,550
Contractual Services
20-040
Advertising
128.
85
300
20-041
Clothing Allowance
6,580
5,220
6,200
20-044
Dues & Publications
118
225
225
20-048
Travel & Training
1,489
5,600
6,000
20-049
Postage
5,500
7,000
8,000
20-050
Data Processing
25,819
23,000
23,000
20-051
Professional Services
89
67,000
208,000
20-052
Audit Expense
2,500
3,550
5,000
20-061
Solid Waste Disposal
108,583
117,500
132,000
20-063
Telephone Expense
1,662
2,000
2,500
20-064
Utilities
2,040
1,200
2,000
20-065
Insurance -Vehicles & Building
6,103
3,700
4,000
20-066
Insurance -Health
17,000
20,000
22,000
20-067
Insurance -Self
-0-
310
300
20-068
Pension Contribution -Employer
13,300
18,150
12,000
20-070
Collection Expense
396
200
500
20-071
Unemployment Insurance
332
25
1,000
20-072
Social Security Taxes
30,953
36,228
37,238
20-100
Miscellaneous Expenses
731
500
1,000
Total Contractual Services
223,323
311,493
471,263
Total Sanitation
Service Operations
809,833
949,173
1,135,708
CITY OF FAYETTEVILLE, ARKANSAS
SANITATION FUND
SANITATION SERVICE OPERATIONS
FOR THE YEARS ENDING JULY 31, 1983; 1982; and 1981
050-580 CONTINUED
ACTUAL
ESTIMATED
BUDGETED
1980-81 1
1981-82..
1982-83
Maintenance
25-080
Buildings & Grounds Maint.
1,545
60
8,500
25-081
Office Machine Maintenance
-0-
-0-
50
25-082
Radio Maintenance
892
1,400
1,600
25-083
Vehicle & Machine Maintenance
155,581
166,000
180,000
Total Maintenance
158,018
167,460
190,150
Total Sanitation Service Maintenance
158,018
167,460
190,150
TOTAL SANITATION SERVICE OPERATIONS
BEFORE DEPRECIATION (SCHEDULE B) 967,851 1,116,633 1,325,858
Depreciation
85-105 Depreciation Expense 127,579 146,342 128,123
TOTAL SANITATION SERVICE OPERATIONS $1,095,430 $1,262,975 $1,453,981
.. .. _ ........ ... .. .. .. a.,... -.
•
PERSONNEL SCHEDULE
NUMBER
OF EMPLOYEES
AMOUNT EST.
81-.82.
82-83
1982-83
Sanitation Superintendent
1
1
$ 23,222.64
Asst. Sanitation Superintendent
1
1
18,142.08
Tender Truck Operators
5
5
70,244.40
Truck Drivers
14
13
135,382.68
Leadman
15
14
175,910.04
Laborer
4
4
35,718.72
Part-time
3
3
15,000.00
Overtime -Clean-ups
10,000.00
Overtime -Other
9,000.00
Contingency
47,862.06
Grand Total
43
41
$540,482.62
s•a
CITY OF FAYETTEVILLE, ARKANSAS
SANITATION. SERVICE OPERATIONS
050-480
EXPLANATION OF ACCOUNTS
10-001 Personnel: Reflects a 10% contingency for salary increases plus the
reduction of one crew.
15-010. Minor Equipment: This account is used to purchase the plastic tote
barrels for garbage collection and other miscellaneous items.
20-048 Travel & Training: Trips to view solid waste proposals and miscellaneous
training.
20-051 Professional Services: $140,000 is the anticipated cost of completing
Phase II and III of the Solid Waste Study and $68,000 is the estimated
cost of waste flow contracts.
20-061 Solid Waste Disposal: Includes a possible increase as of April .1, 1983.
25-080 Buildings & Grounds Maintenance: Rebudgets the expense of an asphalt
parking area, fencing, painting, and repairing building. This year
the building will be maintained in-house without a special contract.
20-100 Miscellaneous: Reflects cost of physicals for each new employee and
other miscellaneous items.
CAPITAL SCHEDULE: SEE CAPITAL BUDGET FOR DETAILS
CITY OF FAYETTEVILLE, ARKANSAS
SANITATION FUND
050-480
ACTUAL
ESTIMATED
BUDGETED
1980-81
1981-82
1982-83
CAPITAL - SANITATION SERVICE
OPERATIONS
99-000 Capital Miscellaneous
$ -0-
$ 73,016
$ .0-
99-200 Vehicles & Equipment
91,433
95,697
142,000
Total Sanitation Operations Capital
$91,433
$168,713
$ 142,000
9
CITY OF FAYETTEVILLE, ARKANSAS
•
SANITATION FUND
ANIMAL SHELTER OPERATIONS
FOR THE
YEARS ENDING JULY 31, 1983, 1982,
and 1981
ACTUAL
ESTIMATED
BUDGETED
1980-81
1981-82*
1982-83
ANIMAL
CONTROL OPERATIONS
Personnel
Salaries
10-001
Salaries and Wages
$ 33,601
$ 14,682
$ -O-
10-002
Cost Allocation
6,925
3,520
-0-
Total Animal Control
Salaries 40,526
18,202
-0-
Materials and Supplies
15-009
Office Supplies
419
140
-0-
15-010
Minor Equipment
260
338
-0-
15-011
Cleaning Materials
1,542
548
-0-
15-012
Chemicals
2,107
182
-0-
15-014
Animal Food
2,042
795
-0-
Total Materials & Supplies
6,370
2,003
-0-
Contractual Services
20-040
Advertising
98
-0-
-O-
20-044
Publications & Dues
20
-0-
20-041
Uniforms
1,190
600
-0-
20-048
Travel and Training
188
-0-
-0-
20-054
Contractual Services
701
271
-0-
20-063
Telephone
337
168
-0-
20-064
Utilities
533
174
0.
20-066
Insurance -Health
-0-
423
-0-
20-068
Pension Contribution
1,763
-O-
.0-
20-072
FICA
2,171
977
-0-
20-100
Miscellaneous
-0-
2
-0-
Total Contractual Services
7,001
2,615
-0-
Maintenance -
25-080
Buildings & Grounds Faint.
197
217
-0-
25-082
Radio Maintenance
129
41
-0-
25-083
Vehicle Maintenance
4,880
2,240
-0-
Total Maintenance
5,206
2,498
-0-
TOTAL ANIMAL
CONTROL OPERATIONS
BEFORE
DEPRECIATION
59,103
25,318
-0-
85-105
Depreciation Expense
1,760
1,759
-0-
GRAND TOTAL ANIMAL CONTROL OPERATIONS
$ 60,863
$ 27,077
$ -0-
*Five months ending 1-1-82
10
.. n -- �A ...-.'.. 1. -..(-lY..\.��ol�.... a. M.Y^.y j•J •Y�Yi'.lY
ANIMAL SHELTER OPERATIONS
EXPLANATION OF ACCOUNTS
1. All Animal Control Operations were transferred to the General Fund as of
January 1, 1982.
1
11
SANITATION FUND
CAPITAL BUDGET
1982-83
NOTE: CAPITAL EXPENDITURES ARE ADDED
TO FIXED ASSETS AND A DEPRECIATION
CHARGE IS GIVEN TO OPERATIONS.
I
8
CITY
OF FAYETTEVILLE, ARKANSAS
CAPITAL BUDGET
FOR THE YEARS
ENDING JULY 31, 1983; 1982;
and 1981
ACTUAL
ESTIMATED
BUDGETED
1980-81
1981-82
1982-83
CAPITAL - SANITATION
SERVICE
-
PERATIONS
99-000 Capital Miscellaneous
$ -0- -
$ 73,016
$ -0-
99-200 Vehicles &
Equipment
91,433
95,697
142,000
Total Sanitation
Operations
Capital
91,433
168,713
142,000
CAPITAL - ANIMAL SHELTER
OPERATIONS
99-200 Vehicles & Equipment -0- -0- -0-
GRAND TOTAL CAPITAL $ 91,433 $ 168,713 $ 142,000
12
SANITATION FUND
CAPITATL BUDGET
/'' EXPLANATION OF ACCOUNTS
SANITATION SERVICE OPERATIONS
Account #99-200
Vehicles and Equipment: This includes three 27,000 G.V.W: Packers at
$39,000 each and.$25,000 to cover Sanitation share of the replacement
Of the City Communication System.
u
e
13