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Proposed FY 2014 - 2015 Budget
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Proposed FY 2014 - 2015 Budget
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Proposed FY 2014 - 2015 Budget
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City Clerk
City Clerk - Doc Type
Budgets
City Clerk - Date
7/15/2014
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rates for each year from Fiscal Year 2014 through Fiscal Year 2017. The increase in water and sewer revenues is <br />relative to the planned rate increases in order to fund ongoing operating and capital needs and <br />is consistent with cost inflation matched to water and sewer utilities. <br />• Budgeted capital improvements total $6,769,880. <br />The Water and Sewer Utility Fund leads with $4.3 million. Major projects include: <br />New Vac -Con truck to supplement proactive system maintenance inspections - <br />$372,000. <br />Gravity sewer lining and Lift Station renovation for the Eastbrook subdivision <br />area - $1,062,000. <br />Water force main replacements including Casselton Drive - $739,800. <br />Seminola Boulevard. expansion and sewer force main replacement - $625,000. Brittany Circle Lift Station renovation - $312,000. <br />High service pumps for the North Water Production Facility - $222,600. <br />Melody Lane water tower paint and refurbishment - $150,000 <br />The Stormwater Fund follows with $1,439,200 in planned improvements. These <br />include: <br />West Concord Drive Drainage improvements - $340,000. <br />Various storm drain rehabilitation projects - $932,400. <br />The Community Redevelopment Agency requests $550,000 for: <br />Land assembly funding for blight removal and economic development - <br />$400,000. <br />Infrastructure Improvements - $150,000. <br />image of Budget Summary- Sources of Funds <br />CITY-WIDE PROPOSED BUDGET SUMMARY— SOURCES OF FUNDS - $44.2 Million <br />Charges for Services 40% <br />Taxes 23% <br />Interfund Transfers 9% <br />Intergovernmental Revenues 9% <br />Permits, Fees & Specialty Assessments 5% <br />Appropriation of Fund Balance 3% <br />Miscellaneous Revenue 3% <br />Fines and Forfeitures 2% <br />Debt Proceeds 1% <br />Charges for Services $ 20,386,948 <br />Miscellaneous Revenue $1,136,064 <br />Taxes $ 9,956,141 <br />Fines and Forfeitures $810,289 <br />Interfund Transfers $4,067,166 <br />Licenses and Permits $2,289,596 <br />Fund Balance Reliance $1,236,418 <br />Debt Proceeds $176,680 <br />Intergovernmental Revenue $4,107,918 <br />Page 14
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