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Published bySara Welch Modified over 8 years ago
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Town of Broadway Fiscal Year 2013 Budget May 21, 2012
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Expenditures Overview % change from previous year General Fund$1,453,00033.30% Water Fund$505,800 -1.69% Sewer Fund$2,624,700-2.45% Total Expenditures$4,583,500 7.01%
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Revenues Overview General Fund$1,453,00029.40% Water Fund$505,800 12.20% Sewer Fund$2,624,700-3.563% Total Revenue$4,583,000-7.01%
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General Fund Highlights Revenue Real estate rate remains unchanged at $.07 Meals tax a significant source of revenue and continues to climb Sales tax continues to rise moderately for the second straight year. Personal Property revenue remain steady Proposing cigarette tax to close gap $1.00 per month trash increase
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General Fund Revenues
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General Fund Highlights Expenditures Most significant change is street maintenance State mandated 5% employee purchase retirement, offset with raise Continue with 5 year plan at Community Park, which includes exterior renovations at Community Center Mandatory LODA insurance for police Added debt service for library, rock lot, PD
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General Fund Expenditures
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Water Fund Revenue Proposed 15% increase – equates to $5.51 per billing cycle for average user Proposed $1,000 increase in connection fees Connection Fees collections are projected to remain stable Overall revenue projected to increase by 12.20%
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Water Fund Revenues
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Water Fund Expenditures Overall expenses decreasing for the second consecutive year – 1.69% Continue purchasing average 50k gallons per day of water from Co-op Minor capital improvements at plant, wash water valve, valve replacements downtown No debt
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Sewer Fund Revenues No increase in user rates Propose increase $1,000 connection fees Connection fees steady Sludge removal revenue ongoing but decreasing due to amount generated; sludge expenses also decrease
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Sewer Fund Revenues
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Sewer Fund Expenditures Fairly consistent with current year Second consecutive year of decreasing expenditures, -2.45% Minor capital improvements and contingency built in Hope to use this year as solid baseline for future expenditures moving forward
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Summary Revenue General Fund$1,453,000 Water Fund$505,800 Sewer Fund$2,624,700 Total Revenue$4,583,500 Expenditures General/Admin$471,000 Public Safety$346,500 Highways$304,000 Parks$105,400 Sanitation$185,000 Water Fund$505,800 Sewer Fund$2,624,700 Total Expenditures $4,583,500
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