2018-2019 Adopted Budget
Infrastructure - Solid Waste Management Fund
BUDGET SUMMARY
2016-17
2017-18 Budget
2018-19 Adopted
2019-20 Projected
Actual
Expenditures:
Personnel Costs
2,308,136 11,805,704
2,377,522 14,410,515
2,432,350 13,367,390
2,488,557 13,420,074
Maintenance & Operations
Capital Outlay
37,210
59,550
0
0
Total
14,151,049
16,847,587
15,799,740
15,908,631
Total FTE Positions
35.580
35.330
35.330
35.330
Revenues:
User Charges Fund Balance
12,422,673 4,483,803
12,265,000 2,371,577
11,865,000 1,713,730
11,915,000 1,772,621
All Other
352,497
380,473
390,473
390,473
Subtotal
17,258,973 1,897,393
15,017,050 1,830,537
13,969,203 1,830,537
14,078,094 1,830,537
General Fund Transfer
Total
19,156,366
16,847,587
15,799,740
15,908,631
BUDGET HIGHLIGHTS The FY 18-19 Budget is decreasing by $1,047,847, or 6.2%. The General Fund transfer to support solid waste operations will remain $1,830,537 in FY 18-19. The FY 18-19 Budget includes a user fee revenue net decrease of about $400,000 due to decreased activity at the transfer station. A private transfer station is now operating near the City owned transfer station and is drawing some customer activity away from the City facility.
Adopted FY 2018-19 Budget
92
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