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