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05/13/1996 - Budget Packet �GtJ� 00, BOARD OR COMMISSIONERS Serving Unincorporated Area BUDGET MEETING AGENDA . Monday,;May 13, 1996. 600'p.m. 1. Call to Order 2. Visitor Comments 3. 1996/97 Budget Discussion 4. Adjournment Executive Session: The Tigard Water District may go into Executive Session under the provisions of.ORS 192.660'(1) (d), (e), & (h) to discuss labor relations, real property transactions, current and pending litigation issues.. All discussions within this session are confidential; therefore nothing from this meeting may be disclosed by those present. Representatives of the news media are allowed to attend this session but must not disclose any information discussed during this session. kathy\twd\5-13.89n May 8, 1996 Members of the Budget Committee Tigard Water District 8777 SW Burnham Street Tigard,Oregon 97223 Included herein is the proposed budget for the Tigard Water District for the fiscal year 1996/97. This budget is very similar to the 1995/96 budget adopted by the Board in June 1995. The Tigard Water District budget used to include all operations and debt service of the entire Tigard Water system. However, due to the withdrawal of the Cities from the District in January 1994, the remaining Tigard Water District budget only includes the activities of the Tigard Water District Board. All other water activities are now included in the City of Tigard annual budget. The proposed budget includes as its main source of funding an estimated beginning balance of$20,035. Revenues for the year are estimated at $9,965 which includes interest of$1,800 and the 1% of water revenues of$8,165. Total resources available for appropriation are$30,000. The proposed budget provides for attorney and engineering services if needed. Also included are costs for City of Tigard staff time spent on District business and$4,000 for public relations or advertising. The property tax levy for debt service included in the previous two years budgets is no longer necessary due to the final maturity of the outstanding debt in the current year. The budget committee must make a motion to approve the proposed budget as amended by the budget committee. Once approved by the budget committee,the budget will be advertised and presented to the Tigard Water District Board at a hearing in June for final adoption. Respectfully submitted Lou Ane Mortensen Budget Officer April 29,1996 Tigard Water District Proposed Budget General Fund 1996/97 Actual Adopted Proposed Approved Resources 1994/95 1995/96 1996/97 1996/97 Revenues One Percent Water Sales 7,348 7,700 8,165 Recovered Expenditures 323 0 0 Interest Earnings 1,341 1,500 1,800 Total Revenues 9,012 9,200 9,965 0 Beginning Balance 30,670 24,000 20,035 Total Resources 39,681 33,200 30,000 0 Expenditures Personnel 0 0 0 0 Materials and Services Attorney 541 2,300 1,050 Financial Reveiw 10 0 10 Election Costs 759 0 800 Meeting Notice 131 - 600 600 Public Relations 0 4,000 4,000 BoundraryCommission Dues 3,226 3,400 800 Special District Assoc Dues 100 100 100 Meeting/Staff Support 4,776 7,800 7,800 Special Districts Assoc conference 0 400 400 Travel/Food & Lodging 0 650 650 Insurance 2,928 2,600 2,600 Engineering Services 0 2,500 2,500 Misc 0 500 500 Total Materials and Services 12,472 24,850 21,810 0 Capital Outlay 0 0 0 0 Total Expenditures 12,472 24,850 21,810 0 Contingency 0 8,350 8,190 Total Appropriations 12,472 33,200 30,000 0 Projected Ending Fund Balance 27,209 0 0 0 I.\I ISFPc MAAV`V I\cvr`cI xrrrvual Inr_cT\o7rinmonr vi c n r •innrnr_ a.nc n n April 30, 1996 Tigard Water District Proposed Budget Expenditure Details Attorney Estimated 6 hours for the year at$175 per hour. Election Costs Election for commissioners in March 1997 Meeting Notice Publication of board meetings, election, budget committee, and budget hearing notices. Public Relations Funds for fliers and information for unincorporated area Dues Special Districts Association of Oregon and the Portland Metro Area Local Boundry Commission Staff Support Accounting 2 hours per month 27.63 663 Meeting 10 hours per month 23.07 2,768 Ed Wegner 2 hours per month 45.03 1,081 Randy Volk 2 hours per month 36.55 877 Mike Miller 2 hours per month 32.43 778 Budget Total 14 hours 42.95 601 Misc staff time 1,032 7,800 SDAO Conference 2 members attend at $200 each Travel, etc. 2 members at Seaside conference room and board for 3 nights. Contingency Amount set aside for unanticipated expenditures. April 29, 1996 Tigard Water District Proposed Budget Debt Service Fund 1996/97 Actual Adopted Proposed Approved Resources 1994/95 1995/96 1996/97 1996/97 Revenues Property Tax Collections 35,728 32,585 0 0 Interest Earnings 972 0 0 0 Total Resources 36,700 32,585 0 0 Expenditures Interest 11,083 1,629 0 0 Principal 26,740 30,956 0 0 Total Expenditures 37,823 32,585 0 0 Projected Ending Balance -1,123 0 0 0 Property Tax Summary Debt Service Requirements 27,895 32,158 0 0 Collection Rate 94% 94% 0% 0% Levy Required to produce requiremens 29,676 34,211 0 0 Projected Assessed Value 403,753,000 535,566,065 Projected Tax Rate per$1,000 AN 0.073 0.064 Impact on Home valued @ $100,000 7.35 6.39 0 0 - J:\USERS\NANCYJ\EXCEL\CITY\BUDGET\97TWDBGT.XLS,DBT SVC 4/30/96 11:05 AM TIGARD WATER DISTRICT INCOME STATEMENT & BALANCE SHEET As of April 30, 1996 INCOME STATEMENT Accounts I FY BUDGET I Prior Y-T-D Monthly V-T-D I REVENUES 1%PY Water Sales Revenue 7,700.00 7,777.46 7,777.46 Interest Earned 1,500.00 1,234.80 127.18 1,361.98 Recovered Expenditures Total Revenues 9,200.00 9,012.26 127.18 9,139.44 EXPENDITURES Professional Services 4,800.00 49.50 49.50 Contractual Services 7,800.00 1,697.60 2,027.98 3,725.58 Special Department Expense 4,500.00 Office Supplies&Expenses Advertising&Elections 600.00 Dues&Subscriptions 3,500.00 896.00 896.00 Travel Food&Lodging 650.00 Education&Training 400.00 Insurance 2,600.00 1,804.00 1,804.00 Contingency/Reserve 8,350.00 Total Expenditures 33,200.00 4,447.10 2,027.98 6,475.08 BALANCE SHEET ASSETS Cash&Investments 31,774.22 (1,900.80) 29,873.42 Net Fixed Assets Total Assets 31,774.22 (1,900.80) 29,873.42 LIABILITIES & FUND BALANCE Liabilities Accounts Payable Due Other Funds Total Liabilities Fund Balance Fund Balance 24,000.00 27,209.06 27,209.06 Excess of Rev/(Exp.) (24,000.00) 4,565.16 (1,900.80) 2,664.36 Total Fund Balance 31,774.22 (1,900.80) 29,873.42 Total Liabilities and Fund Balance 31,774.22 (1,900.80) 29,873.42 g:\Excel\TWDlMonlhly\94-5isbs.xls