HomeMy WebLinkAboutResolution_19-91/92_07/23/1992 RESOLUTION NO. 19 -91/92
A RESOLUTION OF THE VILLAGE COUNCIL OF THE
VILLAGE OF TEQUESTA, PALM BEACH COUNTY, FLORIDA,
PROVIDING AMENDMENTS TO THE VILLAGE GENERAL FUND
BUDGET AND THE VILLAGE WATER ENTERPRISE FUND
BUDGET ADOPTED FOR THE FISCAL YEAR COMMENCING
OCTOBER 1, 1991.
WHEREAS, it is necessary for the Village to adopt budgets for
the fiscal year commencing October 1, 1991; and
WHEREAS, the Village Council of the Village of Tequesta deems
it necessary and appropriate to amend said budgets to provide
appropriations adequate for the authorization of expenditures
necessary for conducting Village operations through the
fiscal year ending September 30, 1992.
NOW, THEREFORE, BE IT RESOLVED BY THE VILLAGE COUNCIL OF THE
VILLAGE OF TEQUESTA, PALM BEACH COUNTY, FLORIDA, as follows:
s
Section 1. That the General Fund Fiscal Year Budget
commencing October 1, 1991, be and is hereby amended and
adopted pursuant to Exhibit "A ", attached and made a part of
this Resolution.
Section 2. That the Water Enterprise Fund Fiscal Year
Budget commencing October 1, 1991, be and is hereby amended
and adopted pursuant to Exhibit "A ", attached and made a part
of this Resolution.
I
Section 3. The Village Manager is hereby authorized to
execute "Intra- Fund" Transfers within the line item
appropriations of individual Village fund budgets as he deems
necessary throughout the fiscal year, to enable continuity of
municipal operations.
THE FOREGOING RESOLUTION WAS OFFERED by
Councilmember M ackail who moved its
adoption. The motion was seconded by
Councilmember Capretta and upon being
put to a vote, the vote was as follows:
FOR ADOPTION AGAINST ADOPTION
T =art T Collings
To's � N Capretta
Ron T Mackail
The Mayor thereupon declared the Resolution duly passed and
adopted this 23rd day of July, A.D., 1992.
MAYOR , 9F TEQUESTA
L►L�iC
art L. Collings
ATTEST:
J ann Manganiel�
Village Clerk
E
a
VILLAGE OF TEQUESTA
Post Office Box 3273 • 357 Tequesta Drive
3 c Tequesta, Florida 33469 -0273 • (407) 575 -6200
° FAX: (407) 575 -6203
9 4
f,CH Coo I
• MEMORANDUM
TO: T. G. Bradford, Vi 1 Ma a r
FROM: B. Kascavelis, Director Finance
DATE: July 14, 1992
SUBJECT: FY 92, Budget Revision For Land Purchase
From Water Department By The General Fund
For The Public Library Site
Enclosed is the revised "Exhibit A" to be attached to the
• FY92 Budget Revision providing for the circular transfer of funds
from the Water Enterprise Fund and corresponding expenditure from
the General Fund payable to the Water Enterprise Fund. The
revisions will enable purchase of the Water property by the
General Fund as recommended by Village Bond Council per the
provisions contained in the 85 Series Water Revenue Bonds
Indenture of Mortagage.
Encl.
•
Recycled Paper
VILLAGE OF TE0UESl[A
BUDG E T
FISCAL YEAR 1991/ 9 2
E XHIBIT =A�
Budget Revisions
March 26, 1992
May 21, 1992
July 23, 1992
VILLAGE OF TE0UESTA
BUDGETS
-~
FISCAL YEAR 1991/1992
TENTATIVE PROPOSED MILLAGE RATE 5.7515
ROLLED-BACK MILLAGE RATE 5.3172
PRIOR YEAR MILLAGE RATE 5.4085
PROPOSED MILLAGE RATE INCREASE OVER THE PRIOR
YEAR ROLLED-BACK RATE 8.17 %
PROPOSED MILLAGE RATE INCREASE OVER THE PRIOR
YEAR MILLAGE RATE 6.34 %
BUDGET HEARING SCHEDULE
FIRST PUBLIC HEARING
WEDNESDAY, SEPTEMBER 4, 1991
7:00 P.M., VILLAGE HALL
SECOND AND FINAL PUBLIC HEARING
THURSDAY, SEPTEMBER 19, 1991
7:00 P.M., VILLAGE HALL
`
VILLAGE OF TEQUESTA, FLORIDA
BUDGETS
FISCAL YEAR 1991/1992
TABLE OF CONTENTS GENERAL FUND
General Fund Revenues GFR 1-3
General Fund Expenditures GFE 1-12
IMPROVEMENT BOND REVENUE FUND
Revenues and Expenditures IBRF-1
IMPROVEMENT BOND REVENUE SINKING FUND
Revenues and Expenditures IBRSF-1
CAPITAL IMPROVEMENT FUND
Revenues and Expenditures CIF-1
WATER DEPARTMENT ENTERPRISE FUND
INTERNAL FUNDS
REVENUE FUND
Revenues and Distribution of Revenues WDR-1
QpeCation and Maintenance Fund
Expenditures
Pumping and Storage Division WDE 1-2
Distribution Division WDE 2
Administration & Office Division WDE 2-3
Sin L.jDq_ Fund
Debt Service Expenditures WDE 4
Capital Improvement Projects WDE 4
LAW ENFORCEMENT TRUST FUND
Revenues and Expenditures LETF 1
' .
VILLAGE OF TEQUESTA
GENERAL FUND BUDGET
SOURCE OF REVENUE
GENERAL FUND
TAXES
Current Ad Valorem $1,981,042
Delinquent Ad Valorem
TOTAL
LICENSES, PERMITS & FEES
Building Permits $ 68,300
Other Fees-Building Department 2,500
Water Protection/Construction Fees 3,400
Alarm Permits 1
Special Truck Permits 1,000
TOTAL
STATE SHARED REVENUES
GENERAL GOVERNMENT
Cigarette Tax $ 12,000
Alcoholic Beverage Licenses 7,000
Local Government Half-Cent Sales Tax 185,000
TOTAL $ 204,000
TRANSPORTATION
Local Option Gas Tax (.06 cents) $ 100,000
TOTAL S 100,000
PHYSICAL ENVIRONMENT
Recycling Reimbursements
TOTAL
SHARED REVENUES OTHER LOCAL UNITS
County-Wide Registrations $ 25,000
PBC 911 Maintenance Reimbursement -
TOTAL
GFR-1
CHARGES FOR SERVICES
GENERAL GOVERNMENT
Zoning Fees $ 4,000
Sale of Maps and Publications 450
Certifications and Copies
TOTAL
PUBLIC SAFETY
Building Inspection Service $ 3,600
Municipal Police Academy 2,150
Extra Duty Contractural Services
TOTAL
CULTURE & RECREATION
Parks and Recreation $ 2,000
Public Works Service to
Jupiter Inlet Colony
TOTAL
FINES AND FORFEITURES
Court Fines $ 40,000
Parking Ticket Fees
TOTAL
MISCELLANEOUS REVENUES
Interest Earnings $ 85,000
Other Miscellaneous Revenue 3,000
Police Department Sales
(Abandoned Bicycles, etc.)
TOTAL S 89,500
Inter-Fund Transfers
Improvement Bond Revenue Fund $ 800,000
Water Enterprise Fund
TOTAL $ 950,000
��� GFR-2
INTRA - GOVERNMENTAL SERVICES
Administrative Management (Water Department) 5 113,400
TOTAL REVENUES $3,637,162
• FUND BALANCE 10/01/91 $ 981,721
TOTAL REVENUES AND FUND BALANCE $4,618,883
•
GFR -3*
EXPENDITURES
GENERAL GOVERNMENT
LEGISLATIVE
COUNCIL
OPERATING EXPENSES
Travel and Per Diem $ 14,000
Miscellaneous 500
Books, Publications and Dues 4. geo
TOTAL $ 19,4E30
DEPARTMENT TOTAL
EXECUTIVE
VILLAGE MANAGER
PERSONAL SERVICE
Salaries and Wages $ 113,300
FICA Taxes 8,670
Retirement Contributions 20,950
Life and Health Insurance 19,500
Worker's Compensation Insurance 900
Deferred Compensation Retirement Plan '
TOTAL
OPERATING EXPENSES
Travel and Per Diem $ 8,900
Office Machine Maintenance 1,800
Printing & Binding 750
Miscellaneous 200
Office Supplies 2,000
Miscellaneous Equipment 500
Books, Publications and Dues 1,000
Personnel Training
TOTAL
DEPARTMENT TOTAL $ 182,245
GFE-1
CLERK
RECORDS MANAGEMENT and ELECTIONS
OPERATING EXPENSES
• Codif icat ion S 1,500
Recording Secretary Service 91000
Election Expense 1,650
Legal Advertising 81000
Storage Rental 1,600
TOTAL 8 21,750
DEPARTMENT TOTAL 8 21,750
ADMINISTRATIVE
FINANCIAL ADMINISTRATION
PERSONAL SERVICE
Salaries and Wages $ 102,600
FICA Taxes 7,850
Retirement Contributions 17,425
Life and Health Insurance 19,500
Worker's Compensation Insurance 800
TOTAL 148,175
OPERATING EXPENSES
Accounting and Auditing Service 21,000
Computer Program Services 3.700
Travel and Per Diem 2,000
Office Machine Maintenance 4,500
Miscellaneous 400
Miscellaneous Equipment 500
Office Supplies 2,650
Books, Publications and Dues 350
Personal Training t 200
TOTAL $ 35,300
CAPITAL OUTLAY
Machinery and Equipment $ 2,500
TOTAL t 2,500
DEPARTMENT TOTAL $ 185,975
•
GFE -2
LEGAL COUNSEL
OPERATING EXPENSES
Legal Services
DEPARTMENT TOTAL
COMPREHENSIVE PLANNING AND ZONING
OPERATING EXPENSES
PLANNING SERVICES
Site Plan Review $ 3,000
Miscellaneous Planning Service 22,000
Mapping Service 2,500
Printing and Binding
DEPARTMENT TOTAL
OTHER GENERAL GOVERNMENT
GENERAL GOVERNMENT ADMINISTRATION
PERSONAL SERVICES
Part-Time Secretarial $ 5,000
FICA Taxes 385
Health & Life Insurance 8,200
' Unemployment Compensation Insurance 1
Employee Recognition Program 2,500
Employee Assistance Program 1,400
Employee Reimbursement Program
TOTAL
'
GFE-3
OPERATING EXPENSES
Travel and Per Diem $ 650
Appraisal/Survey Services 3,000
Computer Program Services 1,500
Communication Service 4,000
Transportation and Postage 5,700
Utility Services 8,275
Equipment Leases 8,700
Fire Hydrant Rents 13,300
General Insurance 26,500
Building Maintenance 9,500
Printing & Binding 500
Miscellaneous 2,500
Village Newsletter 14,700
Office Supplies 6,000
Books, Publications and Dues '
TOTAL $ 107_
CAPITAL OUTLAY
Land Purchase $ 150,000
Office Machines and Equipment -
TOTAL $ 152,600
INTER-FUND TRANSFERS
-- Capital Improvement Fund $ 100.000
TOTAL $ 100,000
DEPARTMENT TOTAL $ 379,135
TOTAL GENERAL GOVERNMENT $ 891,385
GFE-4*
PUBLIC SAFETY
LAW ENFORCEMENT
POLICE DEPARTMENT
ADMINISTRATIVE DIVISION.
PERSONAL SERVICE
Salaries and Wages $ 120,540
FICA Taxes 9,220
Retirement Contributions 29,970
Life and Health Insurance 16,425
Worker's Compensation Insurance 6,720
Employee Physicals and Psychiatric 7,200
TOTAL $ 190,075
OPERATING EXPENSES
Extra Duty Contract Services $ 10,000
Travel and Per Diem 2,250
Communication Service 1,500
Equipment Leases 300
Office Machine Maintenance 890
Insurance 23,200
Vehicle Maintenance 1,560
Printing and Binding 300
Miscellaneous 1,100
Office Supplies 700
Gas and Oil 1,200
Uniforms and Equipment 1,850
Miscellaneous Equipment 300
Video Supplies 50
Books, Publications and Dues 540
Personnel Training
TOTAL
CAPITAL OUTLAY
Machinery & Equipment $ 2
TOTAL
DIVISION TOTAL $ 241,115
GFE-5
COMMUNICATION DIVISION
PERSONAL SERVICE
Salaries and Wages $ 82,210
Overtime Wages 5,000
FICA Taxes 6,675
Retirement Contributions 14,820
Life and Health Insurance 19,180
Worker's Compensation Insurance
TOTAL
OPERATING EXPENSES
Travel and Per Diem $ 200
Communication Service 2,400
Office Machine Maintenance 1,050
Communication Equipment Maintenance 4,330
Printing and Binding 50
Miscellaneous 300
Office Supplies 350
Uniforms and Equipment 2,300
Miscellaneous Equipment 300
Books/Publications and Dues 250
Personnel Training
TOTAL
CAPITAL OUTLAY
-� Machinery and Equipment 32 740
TOTAL
DIVISION TOTAL $ 173,035
INVESTIGATIVE SERVICES DIVISION,
PERSONAL SERVICE
Salaries and Wages $ 41,150
Overtime Wages 1,800
FICA Taxes 3,285
Retirement Contributions 11,525
Life and Health Insurance 6,535
Worker's Compensation Insurance
TOTAL
GFE-6
OPERATING EXPENSES
Travel and Per Diem $ 600
Communication Service 600
Equipment Leases 300
Office Machine Maintenance 510
Vehicle Maintenance 900
Printing and Binding 100
Miscellaneous 300
Office Supplies 550
Gas and Oil 1,100
Uniforms and Equipment 975
Miscellaneous Equipment 875
Video Supplies 625
Books, Publications and Dues 450
Personnel Training
TOTAL
DIVISION TOTAL
PATROL DIVISION
PERSONAL SERVICES
Salaries and Wages $ 383,400
Overtime Wages 30,000
FICA Taxes 31,625
Retirement Contributions 110,925
Life and Health Insurance 61,675
Worker's Compensation Insurance
TOTAL
OPERATING EXPENSES
Travel and Per Diem $ 1,700
Communication Service 525
Office Machine Maintenance 325
General Maintenance 2,160
Vehicle Maintenance 10,450
Printing and Binding 750
Miscellaneous 1,700
Office Supplies 800
Gas and Oil 22,500
Uniforms and Equipment 8,400
Miscellaneous Equipment 1,600
Video Supplies 765
Books, Publications and Dues 275
Personnel Training
TOTAL
GFE-7
CAPITAL OUTLAY
Machinery and Equipment
TOTAL
DIVISION TOTAL $ 737,025
DEPARTMENT TOTAL
PROTECTIVE INSPECTIONS
BUILDING DEPARTMENT
ADMINISTRATIVE DIVISION,
PERSONAL SERVICE
Salaries and Wages $ 69,550
FICA Taxes 5,650
Retirement Contributions 11,825
Life and Health Insurance 13,010
Worker's Compensation Insurance
TOTAL
OPERATING EXPENSES
Computer Program Services $ 500
Legal Advertising 4,000
Travel and Per Diem 4,000
Communication Service 2,100
Office Machine Maintenance 1,140
Printing and Binding 800
Miscellaneous 200
Office Supplies 1,300
Microfilm Ser/Supplies 630
Books, Publications and Dues 630
Personnel Training
TOTAL
DIVISION TOTAL
GFE-8
INSPECTION AND COMPLIANCE DIVISION
PERSONAL SERVICE
Salaries and Wages $ 48,885
FICA Taxes 3,740
Retirement Contributions 8,305
Life and Health Insurance 8,125
~~ Workers Comp. Insurance
TOTAL
OPERATING EXPENSES
Travel and Per Diem $ 800
Insurance 1,950
Vehicle Maintenance 1,320
Miscellaneous 500
Office Supplies 200
Gas and Oil
TOTAL
DIVISION TOTAL
DEPARTMENT TOTAL $ 208.075
CIVIL PREPAREDNESS
EMERGENCY AND DISASTER RELIEF
OPERATING EXPENSES
Civil Defense $ 1,000
Disaster Relief 5. 000
TOTAL
DIVISION TOTAL
DEPARTMENT TOTAL
MULTI—SERVICE TAXING UNIT
FIRE PROTECTION AND EMERGENCY MEDICAL SERVICE
OPERATING EXPENSES
Fire Rescue Service
DEPARTMENT TOTAL
TOTAL PUBLIC SAFETY
GFE-9
'
PHYSICAL ENVIRONMENT GARBAGE/SOLID WASTE DISPOSAL
OPERATING EXPENSES
Recycling Uncollectables $ 1,000
Solid Waste Uncollectables 5,000
Uniforms and Equipment 5,000
DEPARTMENT TOTAL
TRANSPORTATION
PUBLIC WORKS DEPARTMENT
PUBLIC WORKS DIVISION
PERSONAL SERVICE
Salaries and Wages $ 124,100
Overtime Wages 750
FICA Taxes 9,550
Retirement Contributions 21,215
Life and Health Insurance 32,075
Worker's Compensation Insurance
TOTAL
OPERATING EXPENSES
Engineering Services $ 28,000
Contractural Services 54,000
Travel and Per Diem 2,600
Communication Service 1,300
Utility Services 24,000
Street Lighting 22,000
FEC Lease 980
Insurance 9,225
General Maintenance 35,000
Vehicle Maintenance 1,300
Drainage Maintenance 12,000
Pathway Maintenance 3,000
Miscellaneous 500
Gas and Oil 1,650
Small Tools and Equipment 1,000
Uniforms and Equipment 1,260
Miscellaneous Equipment 2,000
Road Materials and Supplies 2,500
Road Signs 2,500
Books, Publications and Dues
TOTAL $ 205,090
GFE-10
CAPITAL OUTLAY
Machinery and Equipment $ 19,000
Steetscape Trees 20,000
TOTAL
DIVISION TOTAL $ 442,780
HEALTH SERVICES
MOSQUITO CONTROL
PERSONAL SERVICE
Salaries and Wages $ 1,100
TOTAL
OPERATING EXPENSES
Machinery and Equipment Maintenance $ 250
Miscellaneous 50
Insecticides 3,975
Mosquito Testing Supplies 50
Personnel Training
TOTAL
DIVISION TOTAL
DEPARTMENT TOTAL
CULTURE AND RECREATION
PARK AND RECREATION DEPARTMENT
FACILITIES MAINTENANCE DIVISION
PERSONAL SERVICE
Salaries and Wages $ 51,915
FICA Taxes 3,975
Retirement Contributions 8,825
Life and Health Insurance 3,575
Worker's Compensation Insurance 2
TOTAL
GFE-11
OPERATING EXPENSES
Contractural Services 7,950
Travel and Per Diem 1,400
Communication Service 400
Utility Service 11,500
• Insurance 1,400
General Maintenance 16,000
Vehicle Maintenance 300
Field Maintenance 5,000
Miscellaneous 500
Office Supplies 150
Gas and Oil 425
Small Tools and Equipment 1,200
Book, Publications and Dues 275
TOTAL 8 46,500
CAPITAL OUTLAY
Playground and Park Equipment 7,000
TOTAL 8 7,000
DIVISION TOTAL 8 124,770
YOUTH PROGRAMS DIVISION
• GRANTS AND AIDS
Aid to Community Organization (JTAA) 8 7,000
Aid to Other Gov't. Org. ( Jupiter Fire Works) 4,150
TOTAL 11,150
OPERATING EXPENSES
Recreation Contracts (Summer Employees) 8 3,885
Program Expense 600
TOTAL 8 4,485
DIVISION TOTAL 8 15,635
DEPARTMENT TOTAL 8 140,405
TOTAL GENERAL FUND EXPENDITURES 83,667,045
FUND BALANCE 9/30/92 8 951,838
• TOTAL EXPENDITURES AND FUND BALANCE 84,618,883
GFE -12 *
IMPROVEMENT BOND REVENUE FUND
REVENUE
FRANCHISE FEES
• Electricity $ 250,000
Telephone 7,650
Gas 250
Cable T. V. 25,000
TOTAL 8 282,900
UTILITY SERVICE TAX
Electricity $ 290,000
Telephone 58,000
Water 45,000
Propane 81000
TOTAL 8 401,000
OTHER REVENUES
Village Occupational Licenses $ 72,000
State Revenue Sharing 118,500
TOTAL 8 190,500
TOTAL REVENUES $ 874,400
FUND BALANCE 10/01/91 $ 27,468
TOTAL REVENUES AND FUND BALANCE $ 901,868
EXPENDITURES
NON — GOVERNMENTAL
INTER —FUND TRANSFERS TO
General Fund $ 800,000
I.B.R. Sinking Fund 80,000
TOTAL EXPENDITURES $ 880,000
FUND BALANCE 9/30/92 $ 21,868
• TOTAL EXPENDITURES AND FUND BALANCE 8 901,868
IBRF -1
I.B.R. SINKING FUND
REVENUE
MISCELLANEOUS
Interest on Investments S 7,500
NON — GOVERNMENTAL
INTER —FUND TRANSFERS FROM
Improvement Bond Revenue Fund $ 80,000
TOTAL REVENUE $ 87,500
FUND BALANCE 10/01/91 S 127,917
TOTAL REVENUE AND FUND BALANCE S 215,417
EXPENDITURES
DEBT SERVICE
Bond Principle (79 Series) $ 35,000
Bond Interest 54,600
Other Debt Service Expenses 775
TOTAL EXPENDITURES $ 90,375
FUND BALANCE 9/30/92 $ 125,042
TOTAL EXPENDITURES AND FUND BALANCE $ 215,417
•
IBRSF -1
CAPITAL IMPROVEMENT FUND
REVENUES
• INTER — GOVERNMENTAL
Interest Income 4,000
Debt Proceeds 155,000
NON — GOVERNMENTAL
INTER —FUND TRANSFERS FROM
General Fund 8 100,000
Water Enterprise Fund 60,650
TOTAL REVENUE $ 319,650
FUND BALANCE 10/01/91 * 128,978
TOTAL REVENUE AND FUND BALANCE 8 448,628
EXPENDITURES
CAPITAL OUTLAY
IMPROVEMENT PROJECTS
TRANSPORTATION
ROAD AND STREET IMPROVEMENTS
Cypress Drive Drainage $ 10,000
Sign County Road 707 11,000
U.S. Highway One Medians 50,000
Shay Place Street Improvement 24,500
Tequesta Drive Bridge Improvement 62,000
Tequesta Drive /Seabrook Intersection 11,000
Tequesta Park & Light Improvement 155,000
Tequesta Drive Impr. Proj. c/o Encumbrances 75,450
TOTAL $ 398,950
TOTAL EXPENDITURES 8 398,950
FUND BALANCE 9/30/92 8 49,678
• TOTAL EXPENDITURES AND FUND BALANCE $ 448,628
CIF -1
WATER DEPARTMENT ENTERPRISE FUND
REVENUE FUND
REVENUE
• OPERATING REVENUE
Water Sales $1,925,400
Connection Charges 10,000
Fire Hydrant Rents 13,300
Other Income 11000
TOTAL $1,949,300
NON — OPERATING REVENUE
Interest Earned on Investments $ 125,000
TOTAL REVENUE $2,074,300
DISTRIBUTION OF REVENUES
INTRA —FUND
Operation and Maintenance Fund $1,520,425
Sinking Fund 185,005
• Bond Amortization Account (2007 Bonds) 135,000
Renewal and Replacement Fund 168,585
Retained Earnings Account 4,635
TOTAL $2,013,650
INTER —FUND TRANSFERS
General Fund $ 60,650
TOTAL DISTRIBUTION OF REVENUES $2,074,300
REVENUES
REFUSE AND RECYCLING SERVICES
Garbage /Refuse Charges $ 241,050
Recycling Charges 39,975
TOTAL $ 281,025
•
WDR -1
EXPENDITURES
OPERATION AND MAINTENANCE FUND
PUMPING AND STORAGE DIVISION
• PERSONAL SERVICE
Salaries and Wages $ 94,500
Overtime Wages 4,000
FICA Taxes 7,540
Retirement Contributions 16,735
Life and Health Insurance 16,050
Worker's Compensation Insurance 4,700
TOTAL $ 143,525
OPERATING EXPENSES
Water Monitoring Service 8 5,400
Water Analysis and Sampling 81000
Communication Service 2,700
Utility Service 85,000
Insurance 28,225
Vehicle Maintenance 1,050
Building Maintenance 5,000
Well Abandonment 3,000
Water Storage Tank Maintenance 5,000
Water System Maintenance 32,000
Miscellaneous 11300
Office Supplies 400
Gas and Oil 11900
Water Purchased 550,000
Chemicals 24,000
Laboratory Supplies 2,500
Small Tools and Equipment 11000
Diesel Fuel 1,300
Uniforms and Equipment 750
TOTAL S 758,525
DIVISION TOTAL $ 902,050
•
WDE -1
DISTRIBUTION DIVISION
PERSONAL SERVICE
Salaries and Wages 8 117,160
• Overtime Wages 4,000
FICA Taxes 9,270
Retirement Contributions 20,585
Life and Health Insurance 28,900
Worker's Compensation Insurance 5,775
TOTAL * 185,690
OPERATING EXPENSES
Insurance $ 1,450
Vehicle Maintenance 61000
Water System Maintenance 22,600
Connection Charges 5,000
Miscellaneous 300
Gas and Oil 3,800
Small Tools 600
Diesel Fuel 300
Uniforms and Equipment 800
TOTAL S 40,850
DIVISION TOTAL $ 226,540
ADMINISTRATION AND OFFICE DIVISION
PERSONAL SERVICE
Salaries and Wages $ 96,325
FICA Taxes 7,375
Retirement Contributions 16,375
Life and Health Insurance 19,425
Worker's Compensation Insurance 2,500
Unemployment Compensation Insurance 11000
Employee Recognition Program 900
Employee Assistance Program 500
Employee Education Reimbursement 11000
TOTAL t 145,400
•
WDE -2
OPERATING EXPENSES
Personnel Services S 2,000
Legal Services 11,000
Engineering Services 30,000
• Accounting and Auditing Services 25,000
Computer Programing Services 8,500
Mapping Service 11000
Travel and Per Diem 4,600
Communication Service 2,700
Transportation and Postage 8,500
Utility Service 81000
FEC Lease 1,600
Equipment Leases 31900
Office Machine Maintenance 4,500
Insurance 5,225
General Maintenance 500
Building Facility Maintenance 3,460
Miscellaneous 300
License and Fees 1,750
Administrative Management 113,400
Office Supplies 6,500
Books, Publications and Dues 2,000
Personnel Training 2,000
TOTAL 8 246,435
DIVISION TOTALS * 391,835
TOTAL OPERATING EXPENSES $1,520,425
REFUSE AND RECYCLING SERVICES
Recycling Service Fees 39,975
Garbage /Refuse Collection Service Fees $ 241,050
TOTAL 8 281,025
•
WDE -3
REVENUE FUND DEBT SERVICE
'85 SERIES REFUNDING BONDS
DEBT SERVICE EXPENSE
Bond Principal 8 100,000
Bond Interest 87,005
Bond Amortization (2007 Year Bond) 140,000
Other Debt Service Expenses 3,000
TOTAL 8 330,005
NON — GOVERNMENTAL INTER —FUND TRANSFERS
TRANSFERS TO'
Capital Improvement Fund 8 60,650
TOTAL 8 60,650
TOTAL OPERATING, DEBT SERVICE &
NON — GOVERNMENTAL EXPENSES 82,192,105
CAPITAL OUTLAY SYSTEM IMPROVEMENTS
RENEWAL AND REPLACEMENT FUND
Equipment Replacement 8 168,585
TOTAL 8 168,585
CAPITAL IMPROVEMENT FUND
Old Dixie W /Main Relocation 8 140,850
and Conflicts
Telemetry Wells 7, 18, 19, 20 & 23 10,195
TOTAL 8 151,045
RETAINED EARNINGS ACCOUNT
Well #24 Improvement Project 8 275,000
Well #25, 26, and 27 1,109,500
Storage Tank 2MG 598,000
Equipment Replacement 15,000
TOTAL 81,997,500
• TOTAL CAPITAL OUTLAY EXPENDITURES 82,317,130
WDE -4
LAW ENFORCEMENT TRUST FUND
REVENUES
FINES AND FORFEITURES
Forfeitures $ 0.00
TOTAL REVENUE $ 0.00
FUND BALANCE 10/ 1/91 S 1.575.00
TOTAL REVENUE AND FUND BALANCE $ 1.575.00
EXPENDITURES
LAW ENFORCEMENT PURPOSES
None $ 0.00
TOTAL EXPENDITURES $ 0.00
FUND BALANCE 9/30/92 $ 1.575.00
0 TOTAL EXPENDITURES AND FUND BALANCE $ 1.575.00
I •
LETF -1