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05/24/1999 - Budget Packet FILE COPY .:..1'.1:i„:..g.." .:„:,..::::„..:1l-:.„ir::.'.....:„.,..:.i.„t:::„:..':„.:.„ 2' _� ?:...-.6:%?i>k: :.._...;'>>: .:::'';:':::?::?........< is::.:'::i.iy`::'.. . ` 2 as as ?2> .:.::> ,..... ...: . ........::::.:.......:...:.::::... ... .:.::.::.::.::.:: . �:; STR!4 r .>.. .....::.::;:: ....: 9''....7:.. .:(.':-.H:. 1,.....-:....r:7..::".:;.„.:I .f • iss?`' >y< ---••••••':'"''''''''''''''''' Anci • ...1......i."......-..,::: • =: : �i? a > ':_ y: falotf >{ � .�i i:� �>�: rn? ' : det:?%: >;: ;;:: iig< < ` t roane" ' : in3»�> ' A za ,l..... . ..:,.:Ex:..„:....."",.,;w4::.:, 1 i :: ;:::< ocv i.,,,,! --.0..:i.IZI :mS [Qii:.:i�Vt Fr�1f 'f=i22: hiiii'Yiiilme ts:::in ` ' . „ fr .? '-_ : . n :'i::li. : ''13."Y" ---::."::::'. >� .:..: : r :: 4no :a�:< >< ate �.,d . >:<,:; < ..,....:::::::•:::...„........ i: . : h �s>>.�:::.irtr �` <i : ; et. £ ,t . _a�� atnt : ;i > . -:. - r Ide .i` :iii ,.„ :,, is . .. fri,. .., con >: < " „ *::.:::. v .. afaset. c : ..:.:. :.. . cions6» :7t >„„ � : .. : t.his sab. .. in 4 : > s.. : . : ... atas <,, `: ..: ). i dr :>':` :..:: < :: ::: :sc s ::>::: . to at '>>::>:>; : r ��'� ::; »::: €_mi• diaaa1 �? � ': ' >';;' e`fi •:00.:::,..i 4 TIGARD WATER DISTRICT 8777 S.W.BURNHAM ST. May18, 1999 P.O.BOX 230000 TIGARD,OREGON 97223-9917 PHONE(503)639-1554 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 1999/00. The budget proposal is very similar to the 1998/99 budget adopted by the Board in June 1998. Attorney services has been increased to $2,000 and the appropriation for public relations remains at the higher level due to the anticipation of more activity surrounding the Willamette river project. 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 it's main source of funding an estimated beginning balance of $38,800. Revenues anticipated during the year are estimated at $10,700 which provides a total of $49,500 in resources at the discretion of the Board. The proposed budget provides $300 for Board Minutes, a new contractual services line item. In addition, the proposal includes $1,500 for City staff support for Water District Board activities, which is a decrease from prior years budgets to reflect actual spending. Outstanding water debt has matured and has been paid. There is therefore no debt service levy needed and there is no budget necessary for the debt service fund. The budget committee must pass a motion to approve the proposed budget as amended by the committee before it can be sent on to the Tigard Water Board. 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 Dave Strauss . Budget Officer, Tigard Water District 5/17/99 Tigard Water District Proposed Budget General Fund 1999/2000 Actual Actual Adopted Proposed Approved Adopted Resources 1996/97 1997/98 1998/99 1999/00 1999/00 1999/00 Revenues One Percent Water Sales 8,044 9,217 9,300 8,900 Interest Earnings 1,516 1,769 1,500 1,800 Recovered Expenditures Total Revenues 9,560 10,986 10,800 10,700 Beginning Balance 28,870 31,403 35,000 38,800 Total Resources 38,430 42,389 45,800 49,500 Expenditures Personnel Materials and Services Attorney 219 59 1,050 2,000 Financial Reveiw 30 10 30 10 Contract for Board Minutes 51 300 Election Costs 706 800 800 Meeting Notice 46 100 300 100 Public Relations 1,261 4,000 4,000 BoundraryCommission Dues 910 910 910 360 Special District Assoc Dues 100 100 100 120 Meeting/Staff Support 2,096 5,000 1,500 Special Districts Assoc conference 400 400 Travel/Food& Lodging 650 650 Insurance 1,659 2,458 2,000 2,000 Engineering Services 2,500 Misc 500 500 . Total Materials and Services 7,027 3,687 18,240 12,740 Capital Outlay Total Expenditures 7,027 3,687 18,240 12,740 Contingency 1,824 1,274 Total Appropriations 7,027 3,687 20,064 14,014 • Ending Fund Balance 31,403 38,702 25,736 35,486 J:\USERS\NANCYJ\EXCEL\CI1Y\BUDGET\OOtwdbgt.xls,G.F, '99 1:15 PM TIGARD WATER DISTRICT INCOME STATEMENT & BALANCE SHEET As of April 30, 1999 INCOME STATEMENT Accounts ., I I FY BUDGET 1 1 Prior Y - T- D I I Monthly I I Y - T - D I REVENUES 1% PY Water Sales Revenue 9,300.00 8,889.09 8,889.09 Interest Earned 1,500.00 1,721.95 211.06 1,933.01 Recovered Expenditures 0.00 0.00 0.00 Total Revenues 10,800.00 10,611.04 211.06 10,822.10 EXPENDITURES Professional Services 3,580.00 162.00 162.00 Contractual Services 5,000.00 290.50 290.50 Special Department Expense 1,300.00 0.00 703.29 703.29 Office Supplies & Expenses 0.00 0.00 0.00 Advertising & Elections 4,300.00 882.00 882.00 Dues & Subscriptions 1,010.00 476.00 476.00 Travel Food & Lodging 650.00 0.00 0.00 Education & Training 400.00 0.00 0.00 Insurance 2,000.00 1,582.00 487.05 2,069.05 Contingency/Reserve 2,700.00 0.00 Total Expenditures 20,940.00 3,392.50 1,190.34 4,582.84 BALANCE SHEET ASSETS Cash & Investments 0.00 45,920.54 (979.28) 44,941.26 Net Fixed Assets 0.00 0.00 0.00 Total Assets 0.00 45,920.54 (979.28) 44,941.26 LIABILITIES & FUND BALANCE - Liabilities Accounts Payable 0.00 0.00 0.00 Due Other Funds 0.00 0.00 0.00 Total Liabilities 0.00 0.00 0.00 0.00 Fund Balance , Fund Balance 35,000.00 38,702.00 0.,0f _ 38,702.00 Excess of Rev/(Exp.) (35,000.00) 7,218.54 (979.28) 6,239.26 Total Fund Balance 0.00 45,920.54 (979.28) 44,941.26 Total Liabilities and Fund Balance 0.00 45,920.54 (979.28) 44,941.26 e:\Excel\TWD\Mont ly\94-5isbs.xls DSS DAVID S. STRAUSS 16418 S. W. 129th Terrace — Tigard, Oregon 97224 Phone(503)598-4602 Email: daomi@aol.com May 24. 1999 Members of Tigard Water District Board: Last year at budget time I pointed out that State Statutes called for three year rotating terms for budget committee members. This was found to be the case. The reason, obviously, is to give the board a certain amount of experience and consistency from year to year. This year when the budget committee was selected, these statutes were ignored. Four of the five members are new to the committee,while some members of last years committee were not approached to serve for a second year. In addition, one of the new committee members called me when he received his materials to tell me he had never agreed to serve! I request it be recorded in the minutes that I strongly object to the methods used this year and insist olio- t = State Statutes governing our actions in the future. David Strauss Board member Tigard Water District TWD Budget Committee Rod Kvistad 13535 SW Fern Street Tigard, Oregon 97223 Mike Shirley 17040 SW 131st Avenue Tigard, Oregon 97224 Doreen Hames 12807 SW Dickson Tigard, Oregon 97224 Jim Krygier 13070 SW Jacob Ct. Tigard, Oregon 97224 Bill McKee 12610 SW Dickson St. Tigard, Oregon 97224