HomeMy WebLinkAbout7.4 2nd reading of AN ORDINANCE ADOPTING AN ANNUAL BUDGET FOR THE VILLAGE OF MOUNT PROSPECT, ILLINOIS FOR THE FISCAL YEAR COMMENCING FROM JANUARY 1, 2021 AND ENDING DECEMBER 31, 2021 IN LIEU OF PASSAGE OF AN APPROPRIATION ORDINANCE.ANNUALItem Cover Page
wubject 2nd reading of AN ORDINANCE ADOPTING AN
BUDGET ■ THE VILLAGE .
PROSPECT, ILLINOIS FOR THE FISCAL YEAR
COMMENCING FROM JANUARY 1, 2021 AND
ENDING DECEMBER
PASSAGE OF AN APPROPRIATION ORDINANCE.
Meeting November 2020 A' MEETING OF THE MOUNT
PROSPECT BOA.
Category • / BUSINESS
Type Ordinance
Information
The attached • r the annual budget• the fiscal year 2021.
Joint• •r with the VillageBoard and the Finance• • • on
October1 1 to review the overall proposed 1 budget, departmental
op
r -
•r • budgets, • the non -departmental budgets. .• • of
budget ordinance was held at the November 2020 •- Board meeting. No
changes were made to the budget as presented at the November 4,, 2020
meeting.
The Proposed Budget for1 • on,, a decrease of •
or •' % from the amended 2020 Budget.The decrease is due to the significant
completion of •r capital projects 1 1 including the Police and Fire
Headquarters, the Maple Street Parking Deck, and Levee 37 Phase I project at
Burning Bush Trails. The operating budget will see an increase of $68,472 or
0.1% from the 2020 Budget.021 operating budget o includes $143,697
for any unanticipated expenses (contingency) and will be spent subject to the
Village Board approval. The 5 -year Community Investment Plan for fiscal year
2021 totalsmillion,• •.2 million less compared to the 2020
1
amended budget. The total debt service payments for 2021 will be $8.9 million.
During 2021,/ total of $5.1 milliobe repaid in outstanding ! !'/ debt,
totalwhile the - payment be $3.8 million. The 2021 plan also includes
replacementthe issuance of $10.0 million in new debt/bonds for the Water and Sewer Fund per
the approved 2017 Water and Sewer Rate study. The 2021 bond issuance will be
the last of its current series and will help reduce the critical watermain
infrastructure 600 ! 130 years. Completionof
major
COVID-19 are resulting in lower expenditures for the Special Revenue Funds.
Property Taxes are one of the most reliable revenue sources for any local
government and the Village of Mount Prospect is no exception to this fact. The
total 2021 property- budget• the Village 1 • million.
property tax levy amount is $19,,469,004 (same as 2019 levy) and the remainder
of
e property
•p- , - are • * Increment
- /1, revenues.
increase to the combined water and sewer rate of 8.0% approved last year is also
included in this Proposed Budget to fund an expanded water/sewer main
replacement program. The Village has not increased its refuse service rates in the
last three years. The refuse service at the current rate is not sustainable due to
the inflation _ cost of The proposed !!_ recommending
8.0% increase in the refuse services.
The Village will see an increase in intergovernmental revenue primarily due to
• ! Illinois The Village I; received
1, $million grants •
Rebuild • -- program fromthe State of • ! the year2020.
Village is expectingto receive equal amounts1 ! 2022.! •
majorVillage has applied for a $5.0 million grant for the Aspen Trails Park Stormwater
Improvements from the State of Illinois. The Village has already been awarded
another grant from the Metropolitan Water Reclamation District for the same
project. The final award amount from the Metropolitan Water Reclamation District
is not yet available, but staff is anticipating the grant amount to be approximately
$1.4 million. The total project cost for this high -impact project is $9.4 million and
the Village will be allocating $2.3 million from its General Fund reserves to fund
the project.
The Proposed 2021 Budget for the General Fund totals $60.8 million. This is a
balanced budget based on staff assumptions for current period revenues and
available cash reserves. Cash reserves are being used for the purpose of funding a
••! Control Project.Absent actions, Proposed Budget of
2
General ! returns a surplus of :75. Items of •te regarding the 2021
Budget for the G- - !include:
The General Fund budget represents a decrease of $1.3 million, or 2.1
percent,compared • the amended 2020 • !!
The proposed 2021 budget includes a contingency budget of $143,697 undei
the Village Manager's Office. Should the need arise, the budget amount wil
be available for spending subject to Village Board approval.
Cash reserves totaling ' million will be used to supporttransfers
several capital project funds. The funds will be used for a storm wate�
improvement project at the Aspen Trails Park and for various other smal
capital projects. Of amount, $2.25betransferred the •
Controlr - and the remainder of $750,,000 will be transferred to
Capital Improvement Fund to sup• .•projects.
balance policy permits this use of cash reserves when the fund balanc
exceeds 30.0%. 1
Finance Commission - on October2020 and further discussed the budget
and related items. After the discussion! the Finance Commission unanimously
recommended adopting the budget as presented with a recommendation that any
future user charge increases should
program costs. A recommendation letter from the Finance Commission is attached
herewith -
The proposed budget can be accessed here - Proposed 2021 Budget - Click Here
accompanyingAlternatives
1. Approve the inance adopting the 2021 annual budget.
2. Action i ion of the Village Board.
Staff Recommendation
Approve the accompanying ordinance adopting the 2021 annual budget.
ATTACH M E NTS:
Budget Ordinance - Draft - Oct 28 2020.pdf
Budget Recommendation from the Finance Commission 2020-10-28.pdf
V?
ORDINANCE NO,
AN ORDINANCE ADOPTING AN ANNUAL BUDGET FOR THE VILLAGE OF
MOUNT PROSPECT FOR THE FISCAL YEAR COMMENCING JANUARY 1, 2021
AND ENDING DECEMBER 31, 2021 IN LIEU OF PASSAGE OF AN
APPROPRIATION ORDINANCE
Published in pamphlet form by
authority of the corporate authorities
of the Village of Mount Prospect, Illinois
this day of November, 2019.
Ell
ORDINANCE NO,
AN ORDINANCE ADOPTING AN ANNUAL BUDGET FOR THE VILLAGE OF
MOUNT PROSPECT FOR THE FISCAL YEAR COMMENCING JANUARY 1, 2021
AND ENDING DECEMBER 31, 2021 IN LIEU OF PASSAGE OF AN
APPROPRIATION ORDINANCE
WHEREAS, the President and Board of Trustees of the Village of Mount Prospect in
accordance with State Statutes, have provided for the preparation and adoption of an Annual
Budget in lieu of passage of an Appropriation Ordinance; and--
WHEREAS,
nd..-
WHEREAS, the proposed Annual Budget for the Village of Mount Prospect for the fiscal year
beginning January 1, 2021 and ending December 31, 2021, as prepared by the Budget Officer
for the Village and submitted to the President'and, Board of Trustees, was placed on file in the
Office of the Village Clerk on September 30, 20201 -for -public inspection,; , as provided by
Statute; and
WHEREAS, pursuant to notice duly published. on October 20, 2020, a public hearing was held
by the President and Board of Trustees on said tentative annual budget on November 4, 2020,
as provided by Statute, and
WHEREAS, following said public hearing, said proposed Annual Budget was reviewed by the
President and Board 'ofTrustees' and a copy of said proposed Annual Budget is attached hereto
and hereby made a part hereof.
NOW, THEREFORE, BE IT -ORDAINED BY THE PRESIDENT AND BOARD OF
TRUSTEES OF THE VILLAGE ---OF MOUNT PROSPECT, COOK COUNTY, ILLINOIS:
SECTION ONE: The Annual Budget for the Village of Mount Prospect for the fiscal year
beginning January 1, 2021 and ending December 31, 2021, a copy of which is attached hereto
and made a part hereof, is hereby approved and adopted as the Annual Budget for the Village
of Mount Prospect for said fiscal year.
SECTION TWO: Withinthirty (30) days following the adoption of this Ordinance there shall
be filed with the County Clerk of Cook County a copy thereof duly certified by the Village
Clerk and Estimate of Revenues by source anticipated to be received by the Village in the fiscal
year beginning January 1, 2021 and ending December 31, 2021, duly certified by the Chief
Fiscal Office
SECTION THREE: This Ordinance shall be in full force and effect from and after its passage,
approval and publication in pamphlet form in the manner provided by law.
AYES:
NAYS:
ABSENT:
ABSTAIN:
PASSED AND APPROVED this day of November, 2020.
Arlene A. Juracek, Mayor
X
"1"'0
"' m .11 A. ., I . 1I,,E . . '
ipuh r ill r
Village Operating Budget
711871,048
72,895,273
77,242,622
74,032,289
177,308.,594
78,722,055
0.1%
Non -Operating Expenditures
2018
2019
2020
2020
2021,,,
2022
Change
Community Investment Program
Actual
Actual
Budget
Estimate
Budget
Forecast
20 to 21
IRe eiinues
10,680,605
7,770,630
8,521,927
8,521,052
81903,33,8
9,396,361
4.5%
Property Taxes
19,223,535
19,054,332
191,955,359
19,268,945
20,565.,258
22,139,949
3.1%
Other Taxes
14,084,956
13,908,983
13,591,375
12,082,460
1,,,3,3 ,
15,007,895
-2.1%
Licenses, Permits & Fees
3,298,693
3,461,600
3,112,300
2,937,000
3, 67,? 0
3,113,005
-1.5%
Intergovernmental Revenue
33,481,944
35,225,923
361,723,800
36,748,480
3,? 56,3 3
420947,383
19.1%
Charges For Services
30,820,500
32,666,189
34,304,445
32,488,848
35,?925.,468
37,507,630
4.7%
Fines & Forfeits
591,472
502,032
558,550
308,800
458,0500
474,455
-17.9%
Investment Income
1,019,573
1,879,804
671,700
521,450
450,?501,,,
471,647
-32.9%
Reimbursements
373,622
686,835
391,937
291,500
445.,000
407,000
13.5%
Other Revenue
2,882,439
2,296,291
21,178,000
2,197,200
2.,269,9920
2,255,500
4.2%
Other Financing Sources
50,313,549
13,723,095
31,868,000
3,693,500
I,6.,940,pOOO
750,000
338.0%
Revenues Total
156,090,283
123,405,084
1151,355,466
110,538,183
137p] 77.,990
1250074,464
18.9%
ipuh r ill r
Village Operating Budget
711871,048
72,895,273
77,242,622
74,032,289
177,308.,594
78,722,055
0.1%
Non -Operating Expenditures
Community Investment Program
10,132,179
31,802,457
47,779,285
42,1071634
2 ', 2 , 3
31,734,581
-40.1%
Debt Services Budget
10,680,605
7,770,630
8,521,927
8,521,052
81903,33,8
9,396,361
4.5%
Internal Service Funds (a)
10,392,248
11,539,058
11,931,836
11,397,340
1,,9p6.15
121102,903
-0.1%
Business District Fund
1,571,930
111458,547
1,554,095
844,000
1,13 ° ,
11422,725
-10.6%
Prospect/Main TIF Dist Other Non -
Op Exp
10,717,521
11,663,734
2,991,636
2,541,523
237,
483,000
-92.1%
Non -Operating Expenditures Total
43,494,483
54,234,426
72,778,779
65,411,549
5,1 7" ,7 6
55,139,570
-29.8%
Other Financing Uses
Interfund Transfers
2,354,391
3,709,981
3,868,000
3,393,000
4j,40,000
750,000
7.0%
Other Financing Uses Total
2,354,391
3,709,981
3,868,000
3,393,000
4j40,000
750,000
7.0%
Expenditures Total
117,7191922
130,839,680
1531,889,401
142,836,838
1,3 ,523,3
134,6111625
-13.9%
Excess (Deficiency) of Revenues
,,,, iiia a iiia°ces Over Expeindituires 3 3 0 361 (714341,596) (3 533 °5) (32j,298,655)4..654,6003 7 � ],,, 1 1,,,2.1,,,
WIND ID B E N E aN E'l ASSE°"1FS
Start of Budget Year 481525,288 86,895,649 79,461,053 79,461,053 471162,398 51,816,998
End of Budget Year 86,895,649 79,461,053 40,927,118 471162,398 51,816,998 421279,837
(a) Internal Services Budget includes Vehicle Maintenance Fund and Risk Management Fund. The Vehicle Replacement and
Computer Replacement Funds are included in the Village Capital Budget. 7
1.1 E.a"V E'N U E S A N D 0 1"! 153"Ou'11,C]"S 1'3Y"1[1EV1FWUE . .....
2018 2019 2020 2020 2021 2022 % Change
Actual Budget Budget Estimate Budget Forecast 20 to 21
1)irqjjpeirty 1"'a ,,,, s
19.,223..535
19,?054.,332
19..955,?359
19.,268,945
20,?565,?258
22p139,F949
3.11,,,/
Other 1'"a es
14..084..956
13.,908..983
13,.591..375
12.,082.,460
1,3,3 ,
150007,,895
-2.1%
1 icenses., Permits & Fees
3.,298,.693
3.,461..600
3..112,r300
2.,937.,000
3,?067,?000
3..113,F005
-1-5%
lnteir,goveimmerpital flevenue
33.,481.,944
35.,225.,923
36.,723,t800
36.,748,480
43,?756.343
420947,383
1 9.1 %
Charges For Services
30.,820.,500
32.,666.,189
34,304,445
32.,488,848
35,?925,?468
37,507,630
4.7%
Fines &. Forfeits
591.,472
502.,032
558..550
308,800
458,0500
474..455
-1 7.9%
Investment Income
1,019,573
1.,879.,804
671..700
521,.450
450,?501
471.,647
-32.9%
Reimbursements
373.,622
686..835
391.,937
291,500
445,?000
407..000
1.3.5%
Other Revenue
2,,882..439
2.,296.,291
2..178.,000
2,.197p200
2,?269,?920
2ffl255..500
4.2%
Other Financing Sources,
Transfer In
2,354,391
3.,709.,981
3.,868.,000
3.393,000
4,?140,?000
750.,000
7.0%
Bond Proceeds/Premiums
47,283,506
8.,119.,075
-
1, 0?000?000
-
+++
Gain on Asset Sales/Retirements
675,652
1.,894.,039
300p500
2,800,000
+++
Other Financing Sources Total
50.,313..549
13,723..095
3..868.,000
3,693,500
1...6, ,
750..000
338.0%
REVENUES AND OTHER SOURCES
TOTAL BY TYPE
iiiiiiiiiiiiiiiiiiiiiillillillillillillilliillillillillilliillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillI
156,090.283
123,.405.,084
115,.355,?466
110,538,183
13711 77'P990
125,074'F464
18.9%
C1,,,,,1 ISG IES III IFUND BALANCE/
�N E-111 ASSE-rs
Total Revenues and Other Sources
156..090.,283
123.,405,084
115,355,466
110,538,183
137,177,990
125,074,464
Total Expenditures
117..719.,922
130.,839.,680
153?889?401
142.,836..838
132..523..390
134,611,625
Additions to(Use of) Fund Balance
iiiiiiiiiiiiiiiiiiiiiillillillillillillilliillillillillillillillillillillillilillillillillillillilliillillillillillillilliillillilillillillillillillillillilillillillillillillilliillillillillillillilliillillilillillillillillillillillilillillillillillillilliillillillillillillilliillillilillillillillillillillillilillillillillillillilliillillillillillillilliillillilillillillillillillillillilillillillillillillilliillillillillillillilliillillilillillillillillillillillilillillillillillillilliillillillillillillilliillillilillillillillillillillillilillillillillillillilliillillillillillillilliillillilillillillillillillillillilillillillillillillilliillillillillillillilliillillilillillillillillillillillilillillillillillillilliillillillillillillilliillillilillillillillillillillillilillillillillillillilliillillillillillillilliillillilillillillillillillillillilillillillillillillilliillillillillillillilliillillilillillillillillillillillilillillillillillillilliillillillillillillilliillillilillillillillillillillillilillillillillillillilliillillillillillillilliillillilillillillillillillillillilillillillillillillilliillillillillillillilliillillilillillillillillillillillilillillillillillillilliillillillillillillilliillillilillillillillillillillillilillillillillillillilliillillillillillillilliililI
38,370,361
(7,434,596)
(38,533,935)
(32,298,655)
4,6541600
(9,537,161)
X
Revenues, Expenditures, and Fund Balance/Net Assets
Fee'li
Nori,Clperating E pendituires
Community Investment Program
2018
Actual
2019
Actual
2020
Budget
2020
Estimate
2021
Budget
2022 % Change
Forecast 20 to 21
iilllla °e Q11peirating Budget
Debt Services Budget
10,680,605
7,770,630
81521,927
81521,052
8,?903,?33 8
91396,361
Public Representation
731,776
486,728
711,623
354,016
57 ., 53
575,425
-19.8%
Village Administration
31719,903
3,662,548
41124,378
41039,753
4131,,,8,263
41379,889
4.7%
Finance
3,072,857
3,132,509
2,033,953
1,996,227
2, ,1,,7,? 51...
21025,098
-0.8%
Community Development
2,904,191
2,875,033
31627,414
3,449,042
3,255,575
31321,496
-10.3%
Human Services
1,165,270
1,089,951
11198,882
1,185,701
1,,222, 0
11246,331
2.0%
Police
18,695,536
19,039,231
19,968,599
19,435,428
2. ,367,?5"""' 3
20,782,398
2.0%
Fire
15,601,285
16,262,561
17,252,566
16,565,218
1..."7,?3, ,, 5
17,775,223
0.3%
Public Works
25,980,230
26,346,712
28,325,207
27,0061904
21 ,255, 6
28,616,195
-0.2%
Village Operating Budget Total
71,871,048
72,895,273
77,242,622
74,032,289
77j,308.,594 ,,,5.,,
78,7220055
0.1%
Nori,Clperating E pendituires
Community Investment Program
10,132,179
31,802,457
47,779,285
42,107,634
28,?624,?863
31,734,581
-40.1%
Debt Services Budget
10,680,605
7,770,630
81521,927
81521,052
8,?903,?33 8
91396,361
4.5%
Internal Service Funds (a)
10,392,248
11,539,058
11,931,836
11,397,340
3,1,, 3...9.,63 5
12,102,903
-0.1%
Business District Fund
11571,930
11458,547
11554,095
844,000
1,,3 ,
11422,725
-10.6%
Prospect/Main TIF Dist Other Non -O
10,717,521
11663,734
21991,636
21541,523
237,p
483,000
-92.1%
Non -Operating Expenditures Total
431F494,483
54,234,426
72,778,779
65,411,549
51,074,p796
550139,570
-29.8%
Other Financing Uses
Interfund Transfers
21354,391
31709,981
31868,000
31393,000
4,J...40,?000
750,000
7.0%
Other Financing Uses Total
2,354,391
3,709,981
31868,000
3,393,000
,1...40,?000
750,000
7.0%
EXPENDITURES TOTAL
180,000,000
16010001,000
140,000,000
120,000,000
100,000,000
80,000,000
60,000,000
40,000,000
20,000,000
117,719,922 130,839,680 153,889,401 142,836,838 .1 32;523,390 134,611,625 -13.9%
toff Interfund Transfers
�iitiii Prospect/Main TIF Dist Other Non -Op
Exp
* Business District Fund
Internal Service Funds (a)
I111 Debt Services Budget
it Community Investment Program
2018 Actual 2019 Actual 2020 2021 2022 Village Operating Budget
Budget Budget Forecast
(a) Internal Services Budget includes Vehicle Maintenance Fund and Risk Management Fund. The Vehicle Replacement and
Computer Replacement Funds are included in the Village Capital Budget.
9
'NU
�IIIIII �� ,,,,� m. ,,,, .. .
�W�.�.. �W,�� � �� � ... '� A�, u! d� .� �N �,,,,, �W„ � �N .4 m���� �N . ,. �NNI � m���� !".W] 'UND
EN I ERI)RISE FUNDS
Water and Sewer Fund
Parking System Revenue Fund
Village Parking System Fund
ENTERPRISE FUNDS TOTAL
141493,771
2018
2019
2020
2020
2.021...
2022 % Change
161,280
Actual
Actual
Budget
Estimate
Budget
Forecast
20 to 21
I,;;;; IN I,;;;; R I..... If°° J N D
5 , °° 6,? 2 6
60,178,571
58,666,426
55,716,878
5 ,; , „ 5., ,"""' """' """'
59,848,579
0.3
DEB ""F SERVICE FUND
131137,p709
5..949..669
5 109 150
5..018..575
5,851, m"" 1...
6 495 392
1..4.5
IR., 11°'Al..... P,1110JEcrs FUNDS
Risk Management Fund
8,844,135
9,054,097
9,462,478
9,490,279
9j,54216.1 2,6.1
9,701,756
Capital Improvement Fund
2,192,544
2,152,018
21305,900
21137,320
2,59 ', 0
21136,525
12.3%
Street Improvement Construc Fund
31976,676
3,6361767
41214,000
31330,320
,3 6 """'
81756,100
3.6%
Flood Control Construction Fund
391,415
416,641
41818,300
51328,000
9,? 1 2.,000
31227,280
101.6%
Police & Fire Building Const.
33,688,743
692,103
36,500
77,000
m,
-
-100.0%
CAPITAL PROJECTS FUNDS TOTAL
40,249,378
6,897,529
11,374,700
10,872,640
1,,,616 6 .,, ,
140119,905
46.5%
SPECII I..... REVENUE IFUNI',°1S
Refuse Disposal Fund
41407,105
41500,464
41374,950
41381,500
4,?1790,?348
41889,400
9.5%
Motor Fuel Tax Fund
11429,563
1,816,893
11934,350
21953,284
3,1... 00,?785
31107,440
60.3%
CDBG
387,846
303,871
622,800
582,300
468,?500
492,000
-24.8%
Asset Seizure Fund
11,284
17,403
14,500
41000
6,?000
6,160
-58.6%
Federal Equitable Share Funds
114
30,238
2,100
31050
,1...00
4,221
95.2%
DUI Fine Fund
21,978
20,358
24,300
7,700
1 0,?200
10,502
-58.0%
Foreign Fire Tax Board Fund
82,027
81,245
78,200
77,500
77.,500
80,150
-0.9%
Business District Fund
1,571,930
11458,547
11554,095
844,000
1,,,,?390,?000
11422,725
-10.6%
Prospect and Main TIF District
81036,335
11,421,170
753,500
11274,000
,?J 53,?000
11320,372
451.2%
SPECIAL REVENUE FUNDS TOTAL
151#948,182
19,650,189
91358,795
10,127,334
1... , , 4 33
11,332,970
49.6%
EN I ERI)RISE FUNDS
Water and Sewer Fund
Parking System Revenue Fund
Village Parking System Fund
ENTERPRISE FUNDS TOTAL
141493,771
15,333,159
16,396,940
16,057,745
27,261 1745
18,575,224 66.3%
158,153
161,280
160,350
86,710
.10,2. .1
167,800 -0.1%
189,759
1,543,635
197,600
87,900
1 74,725 25
177,815 -11.6%
14,841,683
17,038,074
161754,890
16,232,355
27,5 "',671
18,920,839 64.7%
I N rERNAL SERVICE FUNDS
Vehicle Maintenance Fund
2,048,933
2,051,852
2,526,488
2,522,738
2j,35913 59
2,345,753
-6.6%
Vehicle Replacement Fund
1,841,672
2,412,122
1,942,560
514,890
2,1...1... 91860
21129,860
9.1%
Computer Replacement Fund
211,865
172,981
159,979
42,494
1 79,400 0
179,410
12.1%
Risk Management Fund
8,844,135
9,054,097
9,462,478
9,490,279
9j,54216.1 2,6.1
9,701,756
0.8%
INTERNAL SERVICE FUNDS TOTAL
12,946,605
13,691,052
14,091,505
12,570,401
.1 41201,038
140356,779
0.8%
REVENUES TOTAL BY FUND
156,090,283
123,405,084
115,355,466
110,538,183
3 371 771990
125,074,464
18.9%
irt
EN°"If'°ERIRISE FUND
Water and Sewer Fund
Village Parking System Fund
Parking System Revenue Fund
ENTERPRISE FUNDS TOTAL
15,414,518
2018
2019
2020
2020
2021,,,
2022 % Change
11756,412
Actual
Actual
Budget
Estimate
Budget
Forecast
20 to 21
I,;;;; IN I,;;;; R I..... II°:° J N D
55,308,129
56,558,003
62,088,179
59,245,275
,? 9., ,4 2
60,597,251
-2.1
DEB ""F SERVICE FUND
9,1711399
6,644,816
61565,732
6,565,632
6, ,? 9
6,448,792
2.
P., 1 f°Al..... PROJEcFS FUNDS
S
Risk Management Fund
8,151,467
9,433,365
9,605,300
9,192,260
916.1 413,009,757,150
Capital Improvement Fund
11477,194
1,240,320
31370,157
21244,931
2, 6, ,,,,,,,3"""'
31378,560
-16.7%
Street Improvement Construc Fund
21616,298
3,0101478
31890,000
31791,200
4,?367,?000
91312,000
12.3%
Flood Control Construction Fund
468,596
1,870,342
61889,800
51547,560
9,?757.,070
21769,037
41.6%
Police & Fire Building Const.
11968,563
18,270,313
14,194,330
13,618,970
6 ,
-
-95.8%
CAPITAL PROJECTS FUNDS TOTAL
6,530,651
24,391,453
28,344,286
25,202,661
1,,,71530,3 m""
150459,597
-38.2%
SPECII I..... REVENUE FUNDS
Refuse Disposal Fund
41528,996
41654,080
41797,743
41743,284
4,?1790,?348
41889,106
-0.2%
Motor Fuel Tax Fund
11742,901
1,782,416
21101,376
21119,686
3,, ;,376
31155,645
47.5%
CDBG
387,848
303,873
622,800
582,300
468,?500
492,000
-24.8%
Asset Seizure Fund
42,936
23,557
25,000
20500
7,?
7,000
-72.0%
Federal Equitable Share Funds
-
-
11000
500
J,,
1,000
0.0%
DUI Fine Fund
25,531
14,295
2,000
2,000
48,9000
3,000
2300.0%
Foreign Fire Tax Board Fund
36,220
40,923
68,000
92,771
66.,950
66,950
-1.5%
Business District Fund
11571,930
11458,547
11554,095
844,000
1,,3 ,
11422,725
-10.6%
Prospect and Main TIF District
11,282,431
31588,056
11,372,251
91801,846
J,, 6,33
11727,738
-83.2%
SPECIAL REVENUE FUNDS TOTAL
191#618,793
11 865 747
, ,
20 544 265
, ,
18 206 887
, ,
1 1 SJ
, ,
11 765 164
, ,
-42.7%
EN°"If'°ERIRISE FUND
Water and Sewer Fund
Village Parking System Fund
Parking System Revenue Fund
ENTERPRISE FUNDS TOTAL
15,414,518
16,918,072
21,950,967
19,741,297
21,7631705
24,508,687 -0.9%
133,295
11756,412
277,458
256,193
J 34,737 3m""
135,604 -51.4%
178,443
125,303
162,310
157,553
.1,m"" ,,9.1 ,3
173,227 5.9%
15,726,256
18,799,787
22,390,735
20,155,043
221070,355
24,817,518 -1.4%
IN rERNAL SERVICE FUNDS
Vehicle Maintenance Fund
21240,781
2,105,693
2,326,536
21205,080
2j,305,33 5
2,345,753
-0.9%
Vehicle Replacement Fund
8121112
828,009
1,554,389
1,844,000
.1 1492,000
3,242,000
-4.0%
Computer Replacement Fund
160,334
212,807
469,978
220,000
238,400
178,400
-49.3%
Risk Management Fund
8,151,467
9,433,365
9,605,300
9,192,260
916.1 413,009,757,150
0.1%
INTERNAL SERVICE FUNDS TOTAL
11,364,694
12,579,874
13,956,203
13,461,340
,31650,03 5
15,523,303
-2.2%
EXPENDITURES TOTAL BY FUND 117,719,922 130,839,680 153,889,401 142,836,838 1,,,32,"'23,3 134,611,625 -13.9%
11
�M.. �M.1 G �M � urf. � .11 FUND:: mo G EE �M� .. �M..., 1-1. ND � Imo G EE.. . . FUND
Revenues, Expenditures, and Projected Fund n
2019 2020 2020 2021. 2022 2023 2024 2025
Actual Budget Estimate Ifud et Forecast Forecast Forecast Forecast
1„ -.- Ge line iiia III III°°: u iiia d
Revenues
3,620,568
(3,421,753)
(3,528,397)
(31,,,,93 1625)
(748)672)
200,741
111,411
(72,074)
Property Taxes
16,214,210
16,669,109
15,838,270
1.6pMpO87
16,880,941
17,260,762
17,649,131
18,046,237
Other Taxes
8,021,486
7,630,780
7,122,820
7,624-,000
7,813,214
7,980,000
8,151,458
8,327,723
Licenses, Permits & Fees
1,924,704
1,475,800
1,432,000
1,,,1562,000
1,585,430
1,617,138
1,649,482
1,682,472
Intergovernmental Revenue
311168,828
30,350,250
29,033,996
30,.458p790
30,827,943
38,341,682
32,693,388
33,673,646
Charges For Services
1,578,557
1,382,500
1,496,892
1,,,,62 ,000
1,669,725
1,703,121
1,737,185
1,771,930
Fines & Forfeits
296,623
362,550
175,300
299,500
308,485
317,742
327,275
337,094
Investment Income
430,401
266,000
155,800
1,,,83,,,,600
183,416
187,084
190,826
194,643
Reimbursements
261,403
287,137
242,000
34-13,010101
353,625
360,700
367,915
375,274
Other Revenue
282,359
242,300
219,800
232, 00
225,800
230,316
234,921
239,620
Revenues Total
60,178,571
58,666,426
55,716,878
x;81 „ 5.,, ,""" """ �"
59,848,579
67,998,545
63,001,581
64,648,639
Expenditures
Personal Services, Salaries & Wages
27,837,496
28,995,539
28,369,088
29,.666p638
30,361,872
31,272,738
32,210,928
33,177,262
Employee Benefits
14,660,211
15,317,489
15,470,782
1.5,6"' 9,411,,.6
15,992,057
16,484,942
16,993,358
17,517,801
Other Employee Costs
462,925
595,667
387,306
563p844
574,195
574,195
574,195
574,195
Pension Benefits
5,993
6,174
6,174
6p4.78
6,608
6,608
6,608
6,608
Contractual Services
7,666,596
9,280,736
7,740,840
8..800p831.
9,000,291
9,225,322
9,455,971
9,692,376
Utilities
296,269
341,201
297,613
23,,,6,480
230,224
232,527
234,854
237,202
Insurance
549,094
628,535
628,535
24-14-02
637,189
649,933
662,932
676,191
Commodities & Supplies
675,169
1,011,721
851,554
874.p397
903,964
919,801
935,910
952,294
Other Expenditures
1,298,830
110,537
105,537
234-1234.
235,322
91,625
113,625
113,625
Building Improvements
9,816
8,300
7,000
12,.000
12,000
5,000
5,000
5,000
Office Equipment
25,414
67,855
52,322
46,' 0
46,189
46,189
46,189
46,189
Other Equipment
260,523
285,111
268,031
3,,,92,38
248,719
248,719
248,719
248,719
Infrastructure
702,305
1,571,314
1,667,493
882,22
1,598,621
7,290,205
651,881
723,251
Interfund Transfers
2,107,362
3,868,000
3,393,000
%,, ,?000
750,000
750,000
750,000
750,000
Expenditures Total
56,558,003
62,088,179
591245,275
601" ,402
60,5971251
67,797,804
62,8901170
64,720,713
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
3,620,568
(3,421,753)
(3,528,397)
(31,,,,93 1625)
(748)672)
200,741
111,411
(72,074)
Fund Balance, Beginning of Year
191,294,418
2219141986
22,9141986
1 9,?386,?589
17,446,964
16,698,292
16,899,033
17,010,444
Fund Balance, End of Year
22,914,986
19,493,233
19,386,589
3,,,714.11..61964.
16,698,292
16,899,033
17,010,444
16,938,370
Recommended Fund Balance
From
12, 417, 636
1Z159,880
1Z159,880
12,, 11 ,14'5 0
13, 559, 561
12, 578, 034
12, 944,143
13, 203, 025
To
18,626,454
18,239,821
18,239,821
18,117 9,1175
20,339,341
18,867,051
19,416,214
19,804,538
Fund Balance % of Subsequent Year
Expenditures
37%
32%
32%
29%
25%
27%
26%
26%
Revenues % Change from Prior Year
-2.51%
-7.41%
0.33%
1.68%
13.62%
-7.35%
2.61%
Expenses % Change from Prior Year
9.78%
4.75%
...,2.08%
-0.33%
11.88%
-7.24%
2.91%
12
BUDGE"P� W .11 FUND:: mo G EE �M . �M..., 1-1. ND
Revenues, Expenditures, and Projected Fund
Summary of Rev&irit..jes, IExpenditures, and f, und andIBalance 201...9 -.- 202
o
7010001000
60,000,000
50,000,000
A-01000,000
30,000,000
201000,000
10,000,00 II II II II II II II
2019 2020 Est 2021 222 2023 2024 2025
IIIIIIIIIIIIIIIIIIIII
IReveinues Expenses IFuind Ballaince
13
I?evenue,,;, Expenditures, and Projected and Balances
Summwry of Revenues, 1;;;;;;; In ii t,x sires, and IS m„j �r'i III Ince 201,,. 9 202
,000,00
7,00 ,00
61000,000
5;000;000
4,000;000
3;000;000
2000000
1 000 00'0'
ititititititititititt� rrrrrrrrrrrrrrrrrrrrd Illllllllllllllllllld
ISM
IIIIIIIIIIIIIIIIIIIII IRevenUes Expenses FUnd B ll ince
14
2019
2020
2020
2021.
2022
2023
2024
2025
Actual
Budget
Estimate
loud et
Forecast
Forecast
Forecast
Forecast
2..,,, 1;; e bt S e iiry iii c e Ilf °:: t.rii
Revenues
Property Taxes
2,434,000
2,548,250
2,461,675
2,6.,, 0,'l,,.7'1.
3,943,686
3,652,500
3,649,100
3,643,800
Other Taxes
1,024,578
925,000
925,000
925,000
9211206
923,656
925,506
925,506
Intergovernmental Revenue
1,616,923
1,600,900
1,615,900
1,,162 , 00
1,615,500
51,500
53,045
54,636
Investment Income
84,168
35,000
16,000
1,,,5,000
15,000
15,300
15,606
15,918
Other Financing Sources
790,000
-
-
600,000
-
-
-
-
Revenues Total
5,949,669
5,109,150
5,018,575
5, 51.1Ul
6,495,392
4,642,956
4,643,257
4,639,860
Expenditures
Bond Principal
3,787,498
4,015,000
4,015,000
4-,27 ,000
4,145,000
2,385,000
2,455,000
2,545,000
Interest Expense
2,856,012
2,547,732
2,547,732
2,4-2J.p 99
2,300,892
21,1911,156
21119,606
2,024,306
Bank & Fiscal Fees
1,306
3,000
2,900
2,900
2,900
2,900
2,900
2,900
Expenditures Total
6,644,816
6,565,732
6,565,632
6,694.,7, 9
6,448,792
41579,056
4,5771506
41572,206
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
(695,147)
(1,456,582)
(1,5471057)
(84.3, "' ,,
46,600
63,900
65,751
67,654
Fund Balance, Beginning of Year
4,150,506
3,455,359
3,455,359
1 p908p302
1,064,574
1,111,174
1,175,074
1,240,825
Fund Balance, End of Year
3,455,359
iiiiiiiiiiiiiiiiiiiiiillillillillillillilliillillillillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliI
1,998,777
1,908,302
1,,,,064., 574.
1,111,174
1,175,074
1,240,825
1,308,479
Recommended Fund Balance
1,498,666
1,465,301
1,465,301
"1..., 4 2 ,446
1,398,078
1,372,303
1,337,153
1,306,678
Revenues % Change from Prior Year
-14.13%
-15.65%
14.52%
11.01%
-28.52%
0.01%
-0.07%
Expenses % Change from Prior Year
-1.19%
-1.19%
1.97% 7%
-3.67%
-28.99%
-0.03%
-0.12%
Summwry of Revenues, 1;;;;;;; In ii t,x sires, and IS m„j �r'i III Ince 201,,. 9 202
,000,00
7,00 ,00
61000,000
5;000;000
4,000;000
3;000;000
2000000
1 000 00'0'
ititititititititititt� rrrrrrrrrrrrrrrrrrrrd Illllllllllllllllllld
ISM
IIIIIIIIIIIIIIIIIIIII IRevenUes Expenses FUnd B ll ince
14
Revenue,,;, h.xpenditures, and Projected Fund Balances
Summary of Revenues, Expenditures, and fund Valance 2019 - 2025
10,000,000
9,000,000
8,000,000
"7,000,aoo
6,000,000
s,000,000
anon o00
3,400,000
21000,000 'I II II I
1,000,000
zoic zazo En zoz1 zozz mzi zozn 202 -
•Revenues Expenses iii Fund Balance
15
2019
2020
2020
2021.
2022
2023
2024
2025
Actual
Budget
Estimate
Ifud et
Forecast
Forecast
Forecast
Forecast
2. -.- Capital IIII iiixi Illy iii ve iiiiinu e iiiit IIII°° a iiia d
Revenues
Other Taxes
1,370,000
1,389,000
11222,320
1.p325p000
1,371,375
1,412,516
1,454,892
1,498,539
Intergovernmental Revenue
-
900,000
900,000
500,000
-
5,000,000
-
-
Investment Income
32,018
16,900
15,000
1,,,5,000
15,150
15,453
15,762
16,077
Other Financing Sources
750,000
-
-
750,000
750,000
765,000
780,300
795,906
Revenues Total
2,152,018
2,305,900
2,137,320
2p590,000
21136,525
7,192,969
21250,954
21310,522
Expenditures
Contractual Services
9,205
1311182
130,182
""'
-
-
-
-
Other Expenditures
57,079
437,921
286,632
!386p897
710,000
780,000
480,000
100,000
Land Improvements
(3,131)
100,000
-
""'
-
-
-
-
Building Improvements
110,123
165,000
125,000
838pOOO
1,720,000
410,000
825,000
215,000
Office Equipment
-
14,800
5,000
""'
70,000
-
-
-
Other Equipment
551,904
631,950
248,849
277..000
245,000
804,000
-
-
Motor Equipment
-
82,000
-
""'
-
-
-
-
Infrastructure
515,140
1,807,304
1,449,268
1,,,,1,,,04-,34 0
633,560
6,725,331
1,002,137
1,293,980
Expenditures Total
1,240,320
3,370,157
2,244,931
2,8 „ 6,23"
3,378,560
8,7191331
2,307,137
1,608,980
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
911,698
(1,064,257)
(107,611)
(23 6p237)
(1,242,035)
(1,526,362)
(56,183)
701,542
Fund Balance, Beginning of Year
2,414,796
3,326,494
3,326,494
3,218,883
3,002,646
1,760,611
234,249
178,066
Fund Balance, End of Year
3,326,494
2,262,237
3,218,883
3,?002p646
1,760,611
234,249
178,066
879,608
Recommended Fund Balance
From
660,625
941,012
941,012
94.1,,,,0'1.2
941,012
941,012
941,012
941,012
To
1,0001000
1,000,000
11000,000
1,,,0000,0
11-000,000
1,0001,000
11-000,000
1,0001000
Revenues % Change from Prior Year
7.15%
-0.68%
12.32% 2
-17.51%
236.67%
-68.71%
2.65%
Expenses % Change from Prior Year
171.72%
81.00%
16."% ."
20.39%
158.08%
-73.54%
-30.26%
Summary of Revenues, Expenditures, and fund Valance 2019 - 2025
10,000,000
9,000,000
8,000,000
"7,000,aoo
6,000,000
s,000,000
anon o00
3,400,000
21000,000 'I II II I
1,000,000
zoic zazo En zoz1 zozz mzi zozn 202 -
•Revenues Expenses iii Fund Balance
15
BUDGE'r BY FUND:: STREET IMPROVEMENT CONS"l,"
Revenues, Expenditures, and Projected and Balances
2019 2020 2020
Actual Budget Estimate
23 .,,, Stiiireet III iii°ri III iiipove iiimni e iiilit Co iiia stiiru c 1::: a iiiri d
Revenues
Other Taxes
Licenses, Permits & Fees
Intergovernmental Revenue
Investment Income
Reimbursements
Other Revenue
Other Financing Sources
Revenues Total
Expenditures
Contractual Services
Other Expenditures
Infrastructure
Interfund Transfers
Expenditures Total
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
Fund Balance, Beginning of Year
Fund Balance, End of Year
.. a "" �' � uoi urv" m "" w
2021.UND
rAl
2022 2023 2024 2025
Ifud et Forecast Forecast Forecast Forecast
2,072,694 2,074,000 1,798,320 1,,,,975,000 2,071,375 2,133,166 21196,801 210262,334
1,516,296 1,616,500 1,500,000 11,,,,500,000 1,522,500 1,552,950 1,584,009 1,615,689
- - - 852,000 5,122,000 - - -
29,227 8,500 9,000 11,,,0,000 10,100 10,302 10,508 10,718
6,297 15,000 5,000 5,000 5,125 5,228 5,333 5,440
121253 25,000 18,000 25,000 25,000 25,500 26,010 26,530
- 475,000 - ""' - - - -
3,636,767 4,214,000 3,330,320 4,367,000 8,756,100 31727,146 3,8221661 3,9201711
321175 40,000 40,000 40,000 40,000 41,000 42,025 43,076
- - - 80P000 - - - -
2,978,303 3,850,000 3,751,200 31 0 ,000 9,272,000 3,252,000 3,282,000 3,312,200
- - - 540pOOO - - - -
3,010,478 3,890,000 3,791,200 4,367,000 00 9,312,000 3,293,000 3,3241025 3,355,276
626,289 324,000 (460,880) " (5550900) 434,146 498,636 565,435
1,421,610 2,047,899 2,047,899 1,,,1 7p01„.9 1,587,019 1,031,119 1,465,265 1,963,901
2,047,899 2,371,899 1,587,019 "i,,,,5 ,0,,,9 1,031,119 1,465,265 1,963,901 2,529,336
Recommended Fund Balance
1,000,000 1,000,000
1,000,000
l...'000,00101
1,000,000
1,000,000
1,000,000
1,000,000
Revenues % Change from Prior Year
15.87%
-8.43%
3.63%
100.51%
-57.43%
2.56%
2.56%
Expenses % Change from Prior Year
29.22%
25.93%
12.26%
113.24%
-64.64%
0.94%
0.94%
Summary of Revenues, Expenditures, arid Fwrid Balance zoic - zozs
io,000,000
9,000,000
8,000,000
],000,110
6,000,000
5,000,000
4,000,000
31000,000 I UNION I I VIII I I VIII I I I I
2.000,000
NUNN
NUNN
1,000,000
2019 2020 Est 2021 2022 2023 2024 2025
• Revenues • Expenses iii fund Balance
W
'TYPE:!!
BUDGur,,, uoi 'w.0 °IIP CONSTRUCTION 1 .^ . , 1 ,,, 1 1 . 1 � mo urv„ m "' S ,,,, . . . . ,y
BY
I'71.00D
Revenues, Expenditures, and Projected and Balances
17
2019
2020
2020
2021.
2022
2023
2024
2025
Actual
Budget
Estimate
Budget
Forecast
Forecast
Forecast
Forecast
24 -.- 1::11 ood Coiiintiiir l Collum stiiiructiii oin III°°: u iii1 d
Revenues
Other Taxes
345,422
464,000
300,000
-4-1,,000
1,785,375
476,344
516,494
559,754
Intergovernmental Revenue
-
888,000
1,578,000
6p4 -00p000
1,400,000
-
-
-
Charges For Services
27,796
40,000
25,000
28,000
8,200
8,364
8,531
8,702
Investment Income
18,516
16,500
8,000
8,000
8,080
8,242
8,407
8,575
Reimbursements
24,907
16,800
24,000
45,,000
25,625
26,138
26,661
27,194
Other Financing Sources
-
3,393,000
3,393,000
2,p 9 ,,
-
-
-
-
Revenues Total
416,641
4,818,300
5,328,000
9,?7].2,?000
3,227,280
519,088
560,093
604,225
Expenditures
Contractual Services
74,717
122,400
45,000
1.22p400 00
124,236
127,342
130,526
133,790
Utilities
3,271
3,570
1,000
3,570
3,624
3,660
3,697
3,734
Commodities & Supplies
2,459
5,100
4,500
5pl.00
5,177
5,268
5,360
5,454
Other Expenditures
1,000
5,000
5,000
5,0OO
5,000
5,000
5,000
5,000
Other Equipment
-
280,000
33,260
""'
-
450,000
400,000
-
Distribution Systems
20,833
788,000
-
-
-
-
-
Infrastructure
1,768,062
5,685,730
5,458,800
9,623,,,,000
2,631,000
171,000
171,000
171,000
Expenditures Total
1,870,342
6,889,800
5,547,560
% 57p 0
2,7691037
762,270
715,583
318,978
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
(1,453,701)
(2,071,500)
(219,560)
(4-5,070)
458,243
(243,182)
(155,490)
285,247
Fund Balance, Beginning of Year
1,720,859
267,158
267,158
47,?598
2,528
460,771
217,589
62,099
Fund Balance, End of Year
267,158
(1,804,342)
47,598
2p528
460,771
217,589
62,099
347,346
Recommended Fund Balance
From
6141332
668,000
668,000
668pOOO
668,000
668,000
668,000
668,000
To
110001000
1,000,000
11-0001,000
1,,,, 0 ',000
11-000,000
11,0001,000
1,0001000
110001000
Revenues % Change from Prior Year
1056.46%
1178.80%
101.56%
-66.77%
-83.92%
7.90%
7.88%
Expenses % Change from Prior Year
268.37%
196.61%
41.62%
-71.62%
-72.47%
-6.12%
-55.42%
Summary
of Revr gib, , Expenditt,,,i res, arid f, t ind Balance1,,.9 2025
1,,.21000,000
100000,000
,000,000
6,000,000
4;000;000
2,000, 00
2019 2020 Est
2021
2022
2023
2024
202'1;;;
IIIIIIIIIIIIIIIIIIIII Revenue.,.;
xin e ins e. F Li in d 11I::1 a II a in c
17
1" S I UND
BUDGE'r BY FUND:: P0110E & 1 3 1 N FUND P
1?evenue,,;, Expenditures,and Projected FdBalanc
2019 2020 2020 2021. 2022 2023 2024 2025
Actual Budget Estimate fludget Forecast Forecast Forecast Forecast
025 -.- Ilio lice & Fire 113t.jiii III diii ng Coiiia st.
Revenues
Investment Income
692,103
36,500
77,000
Revenues Total
692,103
36..500
77,,000
Expenditures
Contractual Services
577,900
207,019
99,075
Building Improvements
17,692,413
13,987,311
13,519,895
Interfund Transfers
-
-
-
600,000
Expenditures Total
181270,313
14..194..330
13..618,970
600,000
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
(17j,578j,210)
(14..157..830)
(13j,541,,970)
(600p000)
Fund Balance, Beginning of Year
31,720,180
14,141,970
14,141,970
600,000
Fund Balance, End of Year
14,141,970
(15,860)
600,000
Recommended Fund Balance
From
405,120
TO
810,240
Revenues % Change from Prior Year
-94.73%
-88.87%
+++
Expenses % Change from Prior Year
-22.31%
-25.46%
95.775vo -100.00%
Summary ofRevenues,
11:..:..:Apenditures, and IFurid Balance 201 9 2025
20;000,,000
1 8,000,000
,,;1,,.0,000,000
1 4-floo"000
121000;000
1 01000,000
8;000,,000
6,0001000
4,000,000
2;000"000
NUNN
HJUJI)JUJI
NINE
2019 2020 Est
2021
2022 2023 2024
IIIIIIIIIIIIIIIIIIIII Revenues
IIIIIIIIIIIIIIIIIIIII Ilf;;;;:X1penses
Fund Ilfulunce
ISM,
18
TYPE:!! SPECIAL. REVENUE FUND
BUDGE"'r BY FUND:: REFUSE DIS!"10SA.I... FUND I MI.')
Revenues, Expenditures, and Projected and Balances
IIIIIIIIIIIIIIIIIIIII IRevenues E x Ip ebin s e s iiiiii IFund Ballance
Mt
2019
2020
2020
2021.
2022
2023
2024
2025
Actual
Budget
Estimate
Ifud et
Forecast
Forecast
Forecast
Forecast
4 -.- Refuse Disllposalll Ilf:::.t.riiid
Revenues
Charges For Services
4,236,922
4,195,000
4,220,000
-,600,OOO
4,693,000
4,786,860
4,882,597
4,980,250
Fines & Forfeits
32,097
38,500
24,000
.0,?000
40,000
41,200
42,436
43,709
Investment Income
12,749
10,950
4,000
5,348
5,400
5,508
5,618
5,730
Reimbursements
87,362
1,000
5,000
5,0OO
7,500
7,650
7,803
7,959
Other Revenue
131,334
129,500
128,500
1.4 ,000
143,500
146,370
149,297
1521,283
Revenues Total
4,500,464
4,374,950
4,381,500
4.,,79Op348
41889,400
41987,588
5,087,751
5,189,931
Expenditures
Personal Services, Salaries & Wages
303,562
319,769
2811185
33.6p889
323,180
332,876
342,863
353,150
Employee Benefits
127,995
133,567
134,665
1.29p532
131,763
135,807
139,981
144,289
Other Employee Costs
1,573
1,877
1,377
1,.p377
1,398
1,398
1,398
1,398
Contractual Services
4,172,530
4,292,177
4,275,697
4.p287p258
4,376,733
4,486,151
4,598,305
4,713,263
Utilities
158
493
-
-
-
-
-
Insurance
6,942
7,950
7,950
1.2, 32
12,987
13,247
13,512
13,782
Commodities & Supplies
41,320
41,910
42,410
4.2p560
43,045
43,799
44,566
45,347
Expenditures Total
4,654,080
4,797,743
4,743,284,°9,34
,°
4,889,106
5,0131278
5,1401625
5,271,229
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
(153,616)
(422,793)
(361,784)
294
(25,690)
(52,874)
(81,298)
Fund Balance, Beginning of Year
1,241,775
1,088,159
1,088,159
726,375
726,375
726,669
700,979
648,105
Fund Balance, End of Year
1,088,159
665,366
726,375
726p375
726,669
700,979
648,105
566,807
Recommended Fund Balance
From
479,774
479,035
479,035
488,911
501, 328
514,063
527,123
537,665
To
1,199, 436
1,197, 587
1,197, 587
11222,, 2 mm' .7
1, 253, 320
1,285,156
1, 317, 807
1, 344,163
Revenues % Change from Prior Year
-2.79%
-2.64°°
9.49%
2.07%
2.01%
2.01%
2.01%
Expenses % Change from Prior Year
3.09%
1.92%
2.06%
2.54%
2.54%
2.54%
Summary
f Revenues,,IES
p e Ini III t o IIS s, and Fund Balance 201,,,9 2025
61000,000
, 000, 000
4,000,000
3,000,000
2 000 000
1,000,000
201 ,,.9 2020 Est 2021 2022 2023 2024 2025
IIIIIIIIIIIIIIIIIIIII IRevenues E x Ip ebin s e s iiiiii IFund Ballance
Mt
BD G E'r FUND:: u ]"Oil I M J u 'A FUND
e eue,, Expenditures, and Projected Fund Balance
2019 2020 2020
Actual Budget Estimate
41., I otoiiip Ilf°° ue III °"rax Ilf°° a iii1d
Revenues
Intergovernmental Revenue
Investment Income
Reimbursements
Revenues Total
Expenditures
Contractual Services
Utilities
Commodities & Supplies
Infrastructure
Expenditures Total
TYPE: SPECIAL. REVENUE FUND
2021. . 2022 2023 2024 2025
Budget Forecast Forecast Forecast Forecast
1,776,997 1,907,850 2,923,284 3,0 „ 5,7 5 3,089,940 1,957,000 2,015,710 2,076,181
30,212 16,500 19,500 5,0OO 7,500 7,650 7,803 7,959
9,684 10,000 10,500 1,,,0,000 10,000 10,200 10,404 10,612
1,816,893 1,934,350 2,953,284 3,1,,,00, 85 31107,440 11974,850 21033,917 21094,752
296,921 367,376 385,686 367,37" 372,885 382,207 391,762 401,556
1011101 204,000 204,000 254,000 207,060 209,131 2111222 213,334
381,622 380,000 380,000 380,000 385,700 392,450 399,318 406,306
1,002,772 11150,000 11150,000 2,0.,, .,,,000 21190,000 1,500,000 1,500,000 1,500,000
1,782,416 2,101,376 2,119,686 %1.00p376 3,155,645 2,483,788 2,502,302 2,521,196
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures 34,477 (167,026) 833,598 409 (48,205) (508,938) (468,385) (426,444)
Fund Balance, Beginning of Year 2,431,136 2,465,613 2,465,613 %29%21.1. 3,299,620 3,251,415 2,742,477 2,274,092
Fund Balance, End of Year 2,465,613 2,298,587 3,299,211 3,299,620 3,251,415 2,742,477 2,274,092 1,847,648
Recommended Fund Balance
From
95,138 100,138
100,138
96,565 98, 379
100,230
102,120
To
237,844 250,344
250,344
241,, „11 245,947
250,576
255,299
Revenues % Change from Prior Year
6.46%
62.55%
60.30% 0.21%
-36.45%
2.99%
Expenses % Change from Prior Year
17.89%
18.92%
47.54% % 1.78%
-21.29%
0.75%
Summmy
of Revenues, [.:..:, In III IIr S, and Fi,,,i n l Inc 1... 9 2025
3,500,000
3,0001000
2,,500,00
20000000
1...p500000
000
500,000
2019 2020 Est 2021 2022 2023 2024 2025
IIIIIIIIIIIIIIIIIIIII Ivnues IIIIIIIIIIIIIIIIIIIIIExpenses IFuind Ballance
107,162
267,905
2.99%
0.76%
all
TYPE:!! SPECIAL. REVENUE FUND
I?evenue,,;, Expenditures, and Projected and Balances
2019 2020 2020 2021. 2022 2023 2024 2025
Actual Budget Estimate Budget Forecast Forecast Forecast Forecast
42 -.- CI1[ Ilf; °3
Revenues
Intergovernmental Revenue
Other Revenue
Revenues Total
Expenditures
Other Employee Costs
Contractual Services
Expenditures Total
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
214,034 562,800 497,300 388p868 442,000 453,302 464,890 476,772
89,837 60,000 85,000 79,632 50,000 51,000 52,020 53,060
303,871 622,800 582,300 468,500 492,000 504,302 516,910 529,832
72 - - - - - -
303,801 622,800 582,300 4-68,500 492,000 504,302 516,910 529,832
303,873 622,800 582,300-6 ,500 492,000 504,302 516,910 529,832
Fund Balance, Beginning of Year 2 - - - - - -
Fund Balance, End of Year
Recommended Fund Balance - - - - - - -
Revenues % Change from Prior Year 104.96% 91.63% ...,24.78% .T 5.02% 2.50% 2.50% 2.50%
Expenses % Change from Prior Year 104.95% 91.63% -,24.78% 5.02% 2.50% 2.50% 2.50%
St.,jmmwry of Revenues, III;;;;;;; p e n d iib i line , and Fwnd Balance 201... 9 2025
..00,000
600,000
500,000
4001000
300 000
200,00
x...00 000
2019 2020 Est 2021 2022 2023 2024 202-11.:: 3
IIIIIIIIIIIIIIIIIIIII Revenues IIIIIIIIIIIIIIIIIIIII Expenses Fund B II ince
21
TYPE:!! SPECIAL. REVENUE FUND
4 1
BUDGE"'r BY FUND:: ASSE T SO` MR.] FUND I UNJ..)
I?evenue,,;, Expenditures, and Projected and Balances
2019 2020 2020 2021. 2022 2023 2024 2025
Actual Budget Estimate Budget Forecast Forecast Forecast Forecast
043 -.- Asset Seizwipe 1::::ui1id
Revenues
Fines & Forfeits
15,632
12,500
3,000
5p0OO
5,150
5,305
5,464
5,628
Investment Income
1,771
2,000
1,000
1.P000
1,010
1,030
1,051
1,072
Revenues Total
17,403
14..500
4,000
6,000
6,160
6,335
6,515
6,700
Expenditures
Other Employee Costs
-
1,000
500
1.1000
1,000
1,000
1,000
1,000
Contractual Services
2,500
3,000
2,000
31000
3,000
3,075
3,152
3,231
Other Expenditures
-
-
-
-
90,000
-
-
Other Equipment
21,057
21,000
18,000
3pOOO
3,000
3,000
3,000
3,000
Expenditures Total
23,557
25..000
20,500
7p000
7,000
97,075
7..152
7,231
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
(6.,154)
(10.,500)
(16..500)
(1.P000)
(840)
(90,,740)
(637)
(531)
Fund Balance, Beginning of Year
141,256
135,102
135,102
1 3 8,602
117,602
116,762
26,022
25,385
Fund Balance, End of Year iiiiiiiiiiiiiiiiiiiiiillillillillillillilliillillillillillillillillillilillillillillillillillillilliillillillillillillilliillillilillillillillillillilillillillillillillillillilliillillillillillillilliillillilillillillillillillilillillillillillillillillilliillillillillillillilliillillilillillillillillillilillillillillillillillillilliillillillillillillilliillillilillillillillillillilillillillillillillillillilliillillillillillillilliillillilillillillillillillilillillillillillillillillilliillillillillillillilliillillilillillillillillillilillillillillillillillillilliillillillillillillilliillillilillillillillillillilillillillillillillillillilliillillillillillillilliillillilillillillillillillilillillillillillillillillilliillillillillillillilliillillilillillillillillillilillillillillillillillillilliillillillillillillilliillillilillillillillillillilillillillillillillillillilliillillillillillillilliillillilillillillillillillilillillillillillillillillilliillillillillillillilliillillilillillillillillillilillillillillillillillillilliillillilillillilI
135,102
124,602
118,602
1,,,3,,,7p ° 02
116,762
26,022
25,385
24,854
Recommended Fund Balance
25,000
7,000
7,000
7p000
97,075
7,152
7,231
7,376
Revenues % Change from Prior Year
-16.68%
-77.02%
-,58.62%
2.67%
2.84%
2.84%
2.84%
Expenses % Change from Prior Year
6.13%
-12.98%
72.00%
0.00%
1286.79%
-92.63%
1.10%
Summwry of Revenues,
11:..:..:..)(pendlot ulires, and FF u In IElaIII ance 201 9 2025
.1 %000
x"1::.40, 000
;;;1::.20,000
100,000
80,000
60,000
40,000
20,000
Hill!
IIIIIIIIIIIII IIIIIIIIIIIII
2019
HOUR[
2020 Est
2021
2022
2023
2024
2025
IIIIIIIIIIIIIIIIIIIII Revenues roses l Fund 113lnce
22
TSPECIAL. REVENUE FUND
..4 .4 4 1
BUDGE"'r BY FUND:: 1"EDERM... I QU11"ABIX S1 1A.11.1 I 'U'NDS I MI.')
Revenue,,;, Expenditures, and Projected and Balances
2019 2020 2020 2021. 2022 2023 2024 2025
Actual Budget Estimate fludget Forecast Forecast Forecast Forecast
044 -.- 1::�edeiiia III 11:..:..:.quftaIIIA III e Sl,iwre II::::wilds
Revenues
Fines & Forfeits
30,112
2,000
3,000-,000
4,120
4,244
4,372
4,504
Investment Income
126
100
50
1.00
101
103
105
107
Revenues Total
30..238
2,.100
3,050
4J.00
4,221
4,347
4,,477
4,611
Expenditures
Contractual Services
1,000
500
1...000
1,000
1,025
1,051
1,077
Expenditures Total
1..000
500
1.1000
1"000
1,025
1,,051
1.,077
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
30,,238
1'.100
2,550
3J.00
3..221
3.,322
3..426
3.,534
Fund Balance, Beginning of Year
20,307
50,545
50,545
53p095
56,195
59,416
62,738
66,164
Fund Balance, End of Year
50,545
51,645
53,095
56,]I„95
59,416
62,738
66,164
69,698
Recommended Fund Balance
1,000
1,000
1,000
1,,,, 000
1,025
1,051
1,077
1,099
Revenues % Change from Prior Year
-93.06%
-89.91%
95.24%
2.95%
2.99%
2.99%
2.99%
Expenses % Change from Prior Year
+++
+++
0.00%
0.00%
2.50%
2.54%
2.47%
St..jmmary of Revent..jes,
11:..:..:Apenditures, and Ft..iInd Balance 201 9 2025
80,000
70,000
60,000
50,000
40,000
30,000
20,000
1.0)000
Hill!
203...x;
............
2020 Est
2023
2022
2023
2024
2025
IIIIIIIIIIIIIIIIIIIII Reveinues IIIIIIIIIIIIIIIIIIIII Expeinses IFuind Ballaince
23
TYPE:!! SPECIAL. REVENUE FUND
I?evenue,,;, Expenditures, and Projected and Balances
2019 2020 2020 2021. 2022 2023 2024 2025
Actual Budget Estimate Budget Forecast Forecast Forecast Forecast
45 -.- [ .,1 III 1::: iii iiia e I11:::: u iiia d
Revenues
Fines & Forfeits
Investment Income
Revenues Total
Expenditures
Other Employee Costs
Contractual Services
Other Equipment
Motor Equipment
Expenditures Total
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
20,041
24,000
7,500
1,.0,000
10,300
10,609
10,927
11,255
317
300
200
200
202
206
210
214
20,358
24,300
7,700
1,,:0,200
10,502
10,815
11,137
11,469
2,949
1,000
500
1.P000
1,000
1,000
1,000
1,000
-
1,000
-
1.P000
1,000
1,025
1,051
1,077
11,346
-
1,500
1,,:,
1,000
1,000
1,000
1,000
-
-
-
!i
-
-
-
-
14,295
2,000
2,000
4-8p000
3,000
3,025
3,051
3,077
6,063 22,300 5,700 (37,800) 7,502 71790 8,086 81392
Fund Balance, Beginning of Year
137,372 143,435
143,435
1,,,4-9,'3.35
111,335
118,837
126,627
134,713
Fund Balance, End of Year
iiiiiiiiiiiiiiiiiiiiiillillillillillillilliillillillillillilliillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillillillilliillillillillillillillillillillilliillillillillillillilliillillillillilI
143,435 165,735
149,135
1,,,3,,,3,,,,335
118,837
126,627
134,713
143,105
Recommended Fund Balance
2,000 48,000
48,000
3,000
3,025
3,051
3,077
3,139
Revenues % Change from Prior Year
19.36%
-62.18%
32.47% 7
2.96%
2.98%
2.98%
2.98%
Expenses % Change from Prior Year
-86.01%
-86.01%
2300.00%
-93.75%
0.83%
0.86%
0.85%
Summwry
0:f Revenues, III;;;;;;; e n iit ui sires,
and Fwnd Balance 201::: ,,, 2025
.1 60,000
140o000
;;;x.20,000
100,000
80,000
60,000
40,000
20,000
Hill!
2019
2020 Est 2021
2022
2023
2024
2025
IIIIIIIIIIIIIIIIIIIII Revenues IIIIIIIIIIIIIIIIIIIIII Ill,,,,,. l eir°roses Fund 113alance
24
��; . �; � � „ � �,3 :. FUND:: �',M �, F : F � :' BOARD
. � w ,; SPEC ,,, VENUE
Revenues, Expenditures, n rO d and Balances
surnmary of aeve�iiues, rxpendn�xir,es, and Fund Balance za» - zozs
600,000
500,000
noo,ouo
300,000
200,000
100,000 1■ 1� 11 11 11 11 �1
2019 zaza Est zau mzz mzs mza mzs
IReveinues Expenses Fund Ballaince
25
2019
2020
2020
2021.
2022
2023
2024
2025
Actual
Budget
Estimate
Ifud et
Forecast
Forecast
Forecast
Forecast
46 -.- 1::biireiii °iiia Fire '"rax, Boaiiird IIII°°'uiiild
Revenues
Other Taxes
76,446
75,000
75,000
75,000
77,625
79,915
821273
84,700
Investment Income
4,799
3,200
2,500
2,5OO
2,525
2,576
2,628
2,681
Revenues Total
81,245
78,200
77,500
77p5OO
80,150
82,491
84,901
87,381
Expenditures
Other Employee Costs
4,223
15,000
-
7,950
7,950
7,950
7,950
7,950
Contractual Services
4,972
10,500
8,500
11.pM
11,750
12,044
12,345
12,654
Insurance
-
500
500
500
500
510
520
530
Commodities & Supplies
20,127
13,000
8,000
30pOOO
30,000
30,526
31,060
31,603
Building Improvements
-
5,000
5,000
6pOOO
6,000
6,000
6,000
6,000
Other Equipment
11,601
24,000
70,771
1.0p750
10,750
10,750
10,750
10,750
Expenditures Total
40,923
68,000
92,771
66,950
66,950
67,780
68,625
69,487
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
40,322
10,200
(15,271)
1,,, „,55 0
13,200
14,711
16,276
17,894
Fund Balance, Beginning of Year
398,022
438,344
438,344
4.23,0" 3
433,623
446,823
461,534
477,810
Fund Balance, End of Year
438,344
448,544
423,073
4.33,623
446,823
461,534
477,810
495,704
Recommended Fund Balance
From
6,800
6,695
6, 695
6,,695
6,778
6,863
6,949
7,088
To
17,000
16,738
16,738
16,,73816,
945
17,156
17,372
17, 719
Revenues % Change from Prior Year
-3.75%
-4.61%
,,, °°
3.42%
2.92%
2.92%
2.92%
Expenses % Change from Prior Year
66.17%
126.70%
m„1.54%
0.00%
1.24%
1.25%
1.26%
surnmary of aeve�iiues, rxpendn�xir,es, and Fund Balance za» - zozs
600,000
500,000
noo,ouo
300,000
200,000
100,000 1■ 1� 11 11 11 11 �1
2019 zaza Est zau mzz mzs mza mzs
IReveinues Expenses Fund Ballaince
25
TYPE:: SPECIAL. REVENUE I'T
Revenues, Expenditures, and Projected Fund Balances
2019 2020 2020 2021. 2022 2023 2024 2025
Actual Budget Estimate Budget Forecast Forecast Forecast Forecast
4 -.- 1;;; usfiiinessI11[ iiisbipiiict 1 -°°mind
Revenues
Other Taxes
998,357
1,033,595
639,000
935,OOO
967,725
992,236
1,017,431
1,043,328
Intergovernmental Revenue
449,141
514,000
200,000
450,000
450,000
463,500
477,405
491,727
Investment Income
11,049
6,500
5,000
5,000
5,000
5,100
5,202
5,306
Revenues Total
1,458,547
1,554,095
844,000
1.1390,000
11422,725
11460,836
1,500,038
11540,361
Expenditures
Interest Expense
1,458,547
1,554,095
844,000
1.p390p000
1,422,725
1,460,836
1,500,038
1,540,361
Expenditures Total
1,458,547
1,554,095
844,000
`.p39 ,000
1,422,725
11460,836
1,500,038
1,5401361
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
-
-
-
-
-
-
-
Fund Balance, Beginning of Year
-
-
-
-
-
-
-
Fund Balance, End of Year
Recommended Fund Balance
-
-
-
-
-
-
-
Revenues % Change from Prior Year
6.55%
-42.13%
...,10.56%
2.35%
2.68%
2.68%
2.69%
Expenses % Change from Prior Year
6.55%
-42.13%
-10.56%
2.35%
2.68%
2.68%
2.69%
St..jmrnary of R e e n t,j e 5, III;;;;;;; n d ii t a r , and IS
m,i firm d Balance 201,,, 9 2025
1,,., 00,000
x.,000,000
1,,.,400,000
1,,.,20 ,000
800,000
600,000
400,000
200,000
20x..9 2020 Est 2021
2022 2023 2024 202°;;
IIIIIIIIIIIIIIIIIIIII Revenues IIIIIIIIIIIIIIIIIIIII EIenses iiiiii Iund Ballance
26
4 1
BUDGE"'r BY FUND:: PROS P-1 X',"1..` AND MAIN lIf" I MI.')
. ,�VENUE
Revenues, Expenditures, and Projected and Balances
r Lxp nseg Fund R5, �15. m
27
2019
2020
2020
2021.
2022
2023
2024
2025
Actual
Budget
Estimate
Ifud et
Forecast
Forecast
Forecast
Forecast
49 -.- FliiposIll ect aiiild I aiiiiiia
Revenues
Property Taxes
425,541
738,000
969,000
1.p34 -8p000
1,315,322
2,299,855
2,677,205
2,703,977
Investment Income
27,744
15,500
5,000
5,0OO
5,050
5,151
5,254
5,359
Other Revenue
321229
-
-
-
-
-
-
Other Financing Sources
10,935,656
-
300,000
21800,000
Revenues Total
11,421,170
753,500
1,274,000
4,x,,,53,000
11320,372
21305,006
21682,459
21709,336
Expenditures
Other Employee Costs
600
1,500
1,500
1.p5
1,500
1,500
1,500
1,500
Contractual Services
3511176
233,636
58,581
80P000
55,000
56,375
57,784
59,230
Commodities & Supplies
-
1,500
-
1.p500
1,500
1,526
1,553
1,580
Other Expenditures
1,554,996
2,845,000
2,481,442
704-,000
525,000
1,348,917
1,696,346
1,728,651
Land Improvements
395,404
314,096
230,000
-
-
-
-
Building Improvements
852,918
6,688,082
6,231,651
-
-
-
-
Infrastructure
-
500,990
11,000
1.00"000
100,000
100,000
100,000
-
Bond Principal
-
-
-
32 „,000
360,000
605,000
670,000
740,000
Interest Expense
432,737
786,447
786,447
698,?088
683,488
667,038
638,488
606,838
Bank & Fiscal Fees
225
1,000
1,225
1 p25
1,250
1,250
1,250
1,250
Expenditures Total
3,588,056
11,372,251
9,801,846
1 p906,338
1,7271738
2,781,606
3,1661921
3,139,049
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
7,833,114
(10,618,751)
(8,527,846)
2,2 6,662
(407,366)
(476,600)
(484,462)
(429,713)
Fund Balance, Beginning of Year
698,330
8,531,444
8,531,444
%598
2,250,260
1,842,894
1,366,294
881,832
Fund Balance, End of Year
8,531,444
(2,087,307)
3,598
2,25 ,,260
1,842,894
1,366,294
881,832
452,119
Recommended Fund Balance
From
178,268
254,152
254,152
23,1700
48,300
130,832
165,718
179, 096
To
445,671
635,381
635,381
59,.250120,750
327,080
414,296
447, 740
Revenues % Change from Prior Year
-93.40%
-88.85%
451.16%
-68.21%
74.57%
16.38%
1.00%
Expenses % Change from Prior Year
216.95%
173.18%
...,83'.24%
-9.37%
61.00%
13.85%
-0.88%
St..immary
of Rev&nues,
Expenditt,,,i res, and f, t,,,i n d Balance 201... 9 -.-2 .
x...2.,000,000
10,000,000
,000,000
6,000,000
4;000,,000
2. 000 000
2019
2020 Est
2021
2022
2023
2024
202'1;;;
r Lxp nseg Fund R5, �15. m
27
4 TYPE:: 1"'N"'IT11PRISE FUND
Revenues, Expenditures, and Projected Net 55 5 MNI�)
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures (1,584,913) (5,554,027) (3,683,552) 51,4 8,0 „ 0 (51933,463) (79,352) 808,106 400,047
Unrestricted Net Assets, Beginning
of Year 61960,517 513751604 51375,604 1,,,,6 2,052 7,1901092 1,256,629 1,177,277 1,985,383
Unrestricted Net Assets, End of Year 5,3751604
2019
2020
2020
2021.
2022
2023
2024
2025
2,180,973
Actual
Budget
Estimate
Ifud et
Forecast
Forecast
Forecast
Forecast
5 .,,, Wateir a iiia d Se eiiip IIf°° a find
66.26%
-31.86%
17.82%
7.69%
6.57%
Expenses % Change from Prior Year
29.75%
16.69%
Revenues
12.61%
-10.38%
3.62%
8.60%
Property Taxes
(19,419)
-
-
-
-
-
-
Licenses, Permits & Fees
20,600
20,000
5,000
5,0OO
5,075
5,177
5,281
5,387
Intergovernmental Revenue
-
-
-
-
1,500,000
1,500,000
11200,000
Charges For Services
14,877,642
16,140,840
15,800,645
"i,.7, 111.5,64!5
18,314,436
20,117,584
21,794,063
23,635,746
Fines & Forfeits
94,556
100,000
96,000
1.00"000
106,400
109,592
112,880
116,267
Investment Income
296,585
66,100
126,100
1,,,0:x,,,,11,,.00
109,188
111,372
113,599
115,871
Reimbursements
8,100
10,000
5,000
51000
5,125
5,228
5,333
5,440
Other Revenue
58,109
60,000
25,000
35,000
35,000
35,700
36,414
37,142
Other Financing Sources
(3,014)
-
-
,. , 0 ,000
-
-
-
-
Revenues Total
15,333,159
16,396,940
16,057,745
27,263.p745
18,5751224
21,884,653
23,5671570
25,115,853
Expenditures
Personal Services, Salaries & Wages
21254,225
2,349,752
21163,481
21400,591
2,448,182
2,521,629
2,597,282
2,675,202
Employee Benefits
904,358
1,020,929
1,004,842
969,0811,,,
985,157
1,015,451
1,046,723
1,079,005
Other Employee Costs
49,239
45,347
46,644
4-5,347
46,022
46,022
46,022
46,022
Contractual Services
8,719,252
9,233,013
8,934,097
9,405,386
9,320,916
9,038,575
9,239,546
9,445,537
Utilities
110,484
166,174
121,951
1,,,23,,,,„ 51,
123,780
125,018
126,268
127,531
Insurance
117,789
134,892
134,892
1,,,78,3.02
181,664
185,297
189,003
192,783
Commodities & Supplies
247,846
334,688
320,086
33,,,0,x.3
314,797
320,306
325,913
331,619
Other Expenditures
699,661
-
-
-
-
-
-
Building Improvements
436
505,000
385,000
-
-
-
-
Office Equipment
-
11103
11103
1,,,,1,,,03
11120
11120
11120
11120
Other Equipment
114,088
178,778
177,800
1,,,32,800
133,818
133,818
218,818
188,818
Distribution Systems
3,331,975
6,812,543
5,283,653
7,03,,, ,000
9,050,400
6,900,400
7,270,400
8,905,400
Infrastructure
7,500
-
-
-
-
-
-
Bond Principal
-
325,000
3251000
525,000
912,500
725,000
780,000
840,000
Interest Expense
398,563
841,248
841,248
662p681.
988,331
949,369
916,369
880,769
Bank & Fiscal Fees
225
21500
11500
1 p50
2,000
21,000
2,000
21000
Long Term Debt
(37,569)
-
-
-
-
-
-
Expenditures Total
16,918,072
21,950,967
19,741,297
23,,,,""' 63,""' O5
24,508,687
21,964,005
22,759,464
24,715,806
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures (1,584,913) (5,554,027) (3,683,552) 51,4 8,0 „ 0 (51933,463) (79,352) 808,106 400,047
Unrestricted Net Assets, Beginning
of Year 61960,517 513751604 51375,604 1,,,,6 2,052 7,1901092 1,256,629 1,177,277 1,985,383
Unrestricted Net Assets, End of Year 5,3751604
(178,423)
1,692,052
7,l,,, 0,0 2
11-256,629
1,1771,277
1,9851383
2,3851430
Recommended Balance 3,067,104
2,180,973
2,180,973
2�,1 ,,3 m'mm'
2,264,318
2,332,247
2,402,215
2,450,259
Revenues % Change from Prior Year
6.94%
4.73%
66.26%
-31.86%
17.82%
7.69%
6.57%
Expenses % Change from Prior Year
29.75%
16.69%
...,0.85%
12.61%
-10.38%
3.62%
8.60%
�J
Revenues, Expenditures, and Projected Net Assets(MAJOR FUND)
Suiirniirn&iry of Revenues, Experiiiditures, and Net Assets 201,,,9 2025
30,000,000
,,0001000
201000000
1P,
000
.1 01000,000
000
IIIlIl11111111I1111JJ1 �u�i»l>iu�u»1�� iu��»»>iu�u»»� ..111. ,11111; �� .����
201 9 2020 IEst 2.02..1 2022 2023 2024 20215)
IIIIIIIIIIIIIIIIIIIII
Revenues Exl�,.)einses Net Assets
29
TYPE: 1"N"'IT11PRISE FUND
Revenues, Expenditures, and Projected Net Assets
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures (212,777) (79,858) (168,293) 39p988 42,211 (36,499) 19,800 21,106
Unrestricted Net Assets, Beginning
of Year 600,337 387,560 387,560 219..267 259,255 301,466 264,967 284,767
Unrestricted Net Assets, End of Year
2019
Actual
2020
Budget
2020
Estimate
2021.
Ifud et
2022
Forecast
2023
Forecast
2024
Forecast
2025
Forecast
053. -.,, Village 13airlding S ste iii m IIII°°'u iiil d
21,184
21,401
22,043
22,704
23,386
23,854
Revenues % Change from Prior Year
-87.20%
Revenues
1.77%
2.00%
2.00%
2.00%
Expenses % Change from Prior Year
-84.20%
-85.41%
Charges For Services
165,714
1911100
85,500
1.68p600
172,815
176,273
179,799
183,395
Investment Income
4,691
3,500
1,650
3p753
3,000
3,060
3,121
3,183
Other Revenue
2,965
3,000
750
2p372
2,000
2,040
2,081
21123
Other Financing Sources
1,370,265
-
-
-
-
-
-
Revenues Total
1,543,635
197,600
87,900
1.74p725
177,815
181,373
185,001
188,701
Expenditures
1,,., 200,00
Personal Services, Salaries & Wages
17,080
18,933
18,933
1.8p568
18,937
19,505
20,091
20,694
Employee Benefits
8,341
7,713
7,713
7p53.0
7,635
7,865
8,101
8,348
Contractual Services
94,640
199,912
178,674
57p759
58,118
59,571
61,061
62,587
Insurance
285
326
326
326
331
338
345
352
Commodities & Supplies
6,389
574
547
574.
583
593
603
614
Building Improvements
-
-
-
-
55,000
-
-
Infrastructure
27,058
50,000
50,000
50pOOO
50,000
75,000
75,000
75,000
Interfund Transfers
1,602,619
-
-
-
-
-
-
Expenditures Total
1,756,412
277,458
256,193
13 .,? 37
135,604
217,872
165,201
167,595
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures (212,777) (79,858) (168,293) 39p988 42,211 (36,499) 19,800 21,106
Unrestricted Net Assets, Beginning
of Year 600,337 387,560 387,560 219..267 259,255 301,466 264,967 284,767
Unrestricted Net Assets, End of Year
387,560 307,702
219,267
259,2.55
301,466
264,967
284,767
305,873
Recommended Balance
56,865 21,184
21,184
21,401
22,043
22,704
23,386
23,854
Revenues % Change from Prior Year
-87.20%
-94.31%
1.77%
2.00%
2.00%
2.00%
Expenses % Change from Prior Year
-84.20%
-85.41%
...,51.44% 4%
0.64%
60.67%
-24.18%
1.45%
Summary of eve n t..j „ , Expenditures,
and Net
Assets 201 9
2025
2,,000,000
1,,.1800,000
1,,.1600,000
1,,.,400,000
1,,., 200,00
i3O 0,000
00,000
0 , 0
400,000
200;000
2019
2020 Est 2021
2022
2023
2024
2025
IIIIIIIIIIIIIIIIIIIII Ievenes IIIIIIIIIIIIIIIIIIIII EIeir,ises Net Assets
M
p I4TYPE: wI1,IE FUND D
BDErw , mm PARKING uuEREVENUE 7 WV
Revenue,,;, Expenditures, and Projected Net Assets
2019 2020 2020 2021. 2022 2023 2024 2025
Actual Budget Estimate Ifud et Forecast Forecast Forecast Forecast
52 -.- Pairlding Systeiin Reve iiil u e IIII°° a iiil d
Revenues
Charges For Services
Investment Income
Other Revenue
Revenues Total
Expenditures
Personal Services, Salaries & Wages
Employee Benefits
Contractual Services
Utilities
Insurance
Commodities & Supplies
Expenditures Total
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
Unrestricted Net Assets, Beginning
of Year
157,903
156,500
85,060
1.57,500
165,000
168,300
171,666
175,100
1,982
1,650
1,200
1,,,,585
1,600
1,632
1,665
1,698
1,395
21200
450
1,,,, X1..J.0
11,200
11224
11249
11274
161,280
160,350
86,710
1,,,60,201,,,
167,800
171,156
174,580
178,072
17,181
18,838
18,838
1,,,8,535
18,904
19,471
20,056
20,658
8,555
7,667
7,667
7,459
7,583
7,812
8,047
8,293
88,360
114,461
111,119
1.24,5 75
125,073
128,201
131,406
134,693
3,264
9,998
9,998
9p998 9
10,152
10,254
10,357
10,461
292
335
335
335
340
347
354
361
7,651
11,011
9,596
1,,,1,.poll.
111175
11,370
11,569
11,772
125,303
162,310
157,553
1,,71,,,,.,, l,,.3
173,227
177,455
181,789
186,238
35,977 (1,960) (70,843) (3 3p712) (51427) (6,299) (71209) (8,166)
125,619 161,596 161,596 90p753 79,041 73,614 67,315 60,106
Unrestricted Net Assets, End of Year 161,596
159,636
90,753
79, 41
Recommended Balance 40,578
42,978
42,978
43, 3 07
Revenues % Change from Prior Year
-0.58%
-46.24%
84.75%
Expenses % Change from Prior Year
29.53%
25.74%
9.11%
73,614
67,315
60,106
51,940
44, 606
45,944
47,323
48,269
4.74%
2.00%
2.00%
2.00%
0.76%
2.44%
2.44%
2.45%
Summary of Revenues, Expenditures, and Net Assets 2019 - 2025
200,000
180,000
160,000
140,000
120,000
100,000
80,000
60,000
40,000
20,000
2019 2020 Est 2021 2022 2023 2024
■ Revenues ■Expenses IIIIIII Net Assets
BUDGE'r BY FUND:: VEI I.ICI...E MAINTENAM"'T FUND FUND 'TYPE:!! IN"'rEIINAL S1 .. .. ... .. . 41",11VICT 1"UND
Revenues, Expenditures, and Projected Net Assets
2019 2020 2020 2021. 2022 2023 2024 2025
Actual Budget Estimate Ifud et Forecast Forecast Forecast Forecast
060 .,,, Velhicle hAafinteinaince 1111°° a iiia d
Revenues
(53,841)
199,952
317,658
53p84-4.
-
(14,698)
(30,172)
(46,456)
Charges For Services
2,046,358
2,520,488
2,520,488
2,357, „ 4
2,344,438
2,391,326
2,439,154
2,487,936
Investment Income
4,996
6,000
1,250
1,,pM.5
1,315
1,341
1,368
1,395
Other Revenue
-
-
500
7 3,,,4,3 3,,,
-
-
-
-
Other Financing Sources
498
-
500
-
-
-
-
Revenues Total
2,051,852
2,526,488
2,522,738
2,359,11,,.!59
21345,753
21392,667
21440,522
21489,331
Expenditures
581, 634
576,329
576,329
586,4318
601, 841
617,674
633,947
646, 626
Personal Services, Salaries & Wages
1,019,883
11122,417
1,020,350
1,,,,`i,.1.9p 0
11141,898
11,176,158
11211,444
1,247,787
Employee Benefits
386,369
433,251
411,024
4.28p2O7
435,390
448,528
462,083
476,067
Other Employee Costs
4,396
4,750
4,000
7,25 0
7,322
7,322
7,322
7,322
Contractual Services
101,856
113,954
126,172
1,.25,'l,,.77
127,054
130,231
133,488
136,825
Utilities
4,454
5,431
4,525
4-,500
4,568
4,614
4,660
4,707
Insurance
11,706
13,405
13,405
1,,1.,202
11,426
11,655
11,888
121P126
Commodities & Supplies
576,171
629,183
622,594
606,2 X11,,,
615,051
625,813
636,765
647,909
Office Equipment
70
126
626
626
635
635
635
635
Other Equipment
788
4,019
2,384
2p384
2,409
2,409
2,409
2,409
Expenditures Total
2,105,693
2,326,536
2,205,080
2p305p31..5 5,3'1..5
2,3451753
2,407,365
2,4701694
2,535,787
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
(53,841)
199,952
317,658
53p84-4.
-
(14,698)
(30,172)
(46,456)
Unrestricted Net Assets, Beginning
of Year
396,720
342,879
342,879
660,537
714,381
714,381
699,683
669,511
Unrestricted Net Assets, End of Year
342,879
542,831
660,537
7 3,,,4,3 3,,,
714,381
699,683
669,511
623,055
Recommended Balance
From
232, 654
230,532
230,532
234®5 mm' 5
240,737
247,069
253,579
258, 650
To
581, 634
576,329
576,329
586,4318
601, 841
617,674
633,947
646, 626
Revenues % Change from Prior Year
23.13%
22.95%
...,6.62%
-0.57%
2.00%
2.00%
2.00%
Expenses % Change from Prior Year
10.49%
4.72%
1
1.75%
2.63%
2.63%
2.63%
St..immary of Revenues,,IES
e In III t t.j IIr , and Net Assets
3,000;000
2;500,000
2,000,000
...1...,000 0
11000,000
500,000
20"1...9 2020 Est 2021
2022 2023
2024
2025
IIIIIIIIIIIIIIIIIIIII Ievenes IIIIIIIIIIIIIIIIIIIII EIpenses iiiiii Net Assets
MA
err ,, Expenditures, and Projectedet Assets
2019 2020 2020 2021. 2022 2023 2024 2025
Actual Budget Estimate Ifud et Forecast Forecast Forecast Forecast
3,..,,, Velhicle Ilf 'e IIIA III ace ii ni e iiia IIII° a iiil d
Revenues
Charges For Services
Fines & Forfeits
Investment Income
Reimbursements
Other Financing Sources
Revenues Total
Expenditures
Other Expenditures
Motor Equipment
Expenditures Total
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
Unrestricted Net Assets, Beginning
of Year
211321100 1,779,560 444,890 2pO34.p860 2,034,860 2,075,559 21117,071 210159,413
12,971 19,000 - - - - -
189,080 144,000 70,000 85,000 95,000 96,900 98,838 100,815
198,281 - - - - - -
(120,310) - - - - - -
2,412,122 1,942,560 514,890 2,11.9, 21129,860 21172,459 2,215,909 2,260,228
854,467 - - - - - -
(26,458) 1,554,390 1,844,000 1.p4 -92p000 3,242,000 1,198,000 3,014,000 974,000
828,009 1,554,390 1,844,000 1,,,,4-92,000 3,242,000 1,198,000 3,014,000 974,000
1,584,113 388,170 (1,329,110) 627,860 (11112,140) 974,459 (798,091) 1,286,228
8,599,289 10,183,402 10,183,402 8,854,292 9,482,152 8,370,012 9,344,471 8,546,380
Unrestricted Net Assets, End of Year 10,183,402
iiiiiiiiiiiiiiiiiiiiiillillillillillillilliillillillillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillilI
10,571,572
8,854,292
%4-82J.52
8,370,012
9,344,471
8,546,380
9,832,608
Recommended Balance 10,183,402
10,571,572
8,854,292
91482,J52
8,370,012
9,344,471
8,546,380
9,832,608
Revenues % Change from Prior Year
-19.47%
-78.65%
9.13%
0.47%
2.00%
2.00%
2.00%
Expenses % Change from Prior Year
87.73%
122.70%
-.4.01%
117.29%
-63.05%
151.59%
-67.68%
Summary of Revenues, Expenditures, and Net Assets 2019 - 2025
12,000,000
10,000,000
8,000,000
6,000,000
4,000,000
2,000,000 ' ■ -' Hill 11H Hill
2019 2020 Est 2021 2022 2023 2024
■ Revenues ■Expenses iiiiiii Net Assets
ACX
Revenue,,;, Expenditures, and Projectedet Assets
2019 2020 2020
Actual Budget Estimate
2 -.- CmmIllauteir ll e p III ace ii ni e iiiit IIII° a iiia d
Revenues
Charges For Services
Investment Income
Revenues Total
Expenditures
Other Expenditures
Building Improvements
Office Equipment
Expenditures Total
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
Unrestricted Net Assets, Beginning
of Year
2021. . 2022 2023 2024 2025
Ifud et Forecast Forecast Forecast Forecast
162,897 159,979 39,994 1.78p400 178,400 181,968 185,607 189,320
10,084 - 2,500 1,,,,000 1,010 1,030 1,051 1,072
172,981 159,979 42,494 1.79p400 179,410 182,998 186,658 190,392
13,709 - - - - - -
- 250,000 - - - - -
199,098 219,978 220,000 238,400 178,400 178,400 218,400 208,400
212,807 469,978 220,000 23 ,400 178,400 178,400 218,400 208,400
(39,826) (309,999) (177,506) (59,000) 11010 4,598 (31,742) (18,008)
744,465 704,639 704,639 527,133 468,133 469,143 473,741 441,999
Unrestricted Net Assets, End of Year 704,639
394,640
527,133
4. " ,x,,,33
469,143
473,741
441,999
423,991
Recommended Balance 704,639
394,640
527,133
4 ,.13,3
469,143
473,741
441,999
423,991
Revenues % Change from Prior Year
-7.52%
-75.43%
12.14%
0.01%
2.00%
2.00%
2.00%
Expenses % Change from Prior Year
120.85%
3.38%
49.27Y
-25.17%
0.00%
22.42%
-4.58%
u ern ern w, of Revenues, IIE;;;;;: pe n iiit gyres, and Netsets, , :.1 9 20211
800,000
]00,000
600,000
500,000
400,000
300,000
200000
1000000 I I I I I I I I I
2019 2020 Est 2021 2022 2023 2024
IIIIIIIIIIIIIIIIIIIII IRevenUes Expenses Net Assets
1
M
BUDGE'r BY FUND:: RISK MANAGEMEN"I"J"UND
Revenues, Expenditures, and Projected Net Assets
63 -.- Rislk I a iiia a ge hille iiia IIf°° a iin d
Revenues
Charges For Services
Investment Income
Reimbursements
Other Revenue
Revenues Total
Expenditures
Contractual Services
Insurance
Commodities & Supplies
Other Equipment
Expenditures Total
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures
Unrestricted Net Assets, Beginning
of Year
2019 2020 2020 2021. 2022 2023 2024 2025
Actual Budget Estimate Ifud et Forecast Forecast Forecast Forecast
7,280,300 7,738,478 7,770,379 7p 55, 1.9 7,926,756 8,085,291 8,246,996 8,411,936
(2,814) 16,000 700 3,0OO 2,000 2,040 2,081 21123
90,801 52,000 - 30,000 - - - -
1,685,810 1,656,000 1,719,200 1,,,, 54,000 1,773,000 1,808,460 1,844,629 1,881,521
9,054,097 9,462,478 9,490,279 9,542,611 ,,.9 91701,756 91895,791 101093,706 101295,580
4,800 40,000 35,000 „ , O O0 40,150 41,154 421183 43,238
9,423,599 9,542,800 9,150,760 9p!324-,300 9,667,000 9,860,340 10,057,547 10,258,697
4,914 22,500 6,500 5 , 0 0 0 50,000 50,875 51,765 52,671
52 - - - - - -
9,433,365 9,605,300 9,192,260 %63,.4-p300 9,757,150 91952,369 10,151,495 10,354,606
(379,268) (142,822) 298,019 (731 .) (55,394) (56,578) (57,789) (59,026)
3,678,133 3,298,865 3,298,865 3,596,8 . 3,525,203 3,469,809 3,413,231 3,355,442
Unrestricted Net Assets, End of Year 3,298,865
iiiiiiiiiiiiiiiiiiiiiillillillillillillilliillillillillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillillillilliillillilillillillillilillillillillillillillillillillilliillillillillilI
3,156,043
3,596,884
3,525,203
3,469,809
3,413,231
3,355,442
3,296,416
Recommended Balance 1,305,500
1,305,500
1,305,500
11288,f 7. 95
1,288,795
1,288,795
1,288,795
111288,795
Revenues % Change from Prior Year
4.51%
4.82%
0.85%
1.67%
2.00%
2.00%
2.00%
Expenses % Change from Prior Year
1.82%
-2.56%
0.09%
1.49%
2.00%
2.00%
2.00%
Summary of Revenues, Expenditures, and Net Assets 2019 - 2025
12,000,000
10,000,000
8,000,000
6,000,000
4,000,000
2,000,000
2019 2020 Est 2021 2022 2023 2024
■ Revenues ■Expenses uiiiii Net Assets
2025
From: Finance Commission, Village of Mount Prospect
To: Arlene Juracek — Mayor, and the Village Board of Trustees
Date: October 23, 2020
Subject: Recommendation from the Finance Commission
At our recent Finance Commission meeting of October 22, 2020, the Finance
Commission discussed the proposed operating budget for the year 2021. A synopsis of
the discussion as well as a recommendation from the Finance Commission is as follows:
a) The Finance Commission agreed that the presentation was done professionally
and we recognize the efforts of the staff.
b) Director of Finance, Amit Thakkar provided an update regarding minor adjustments
to the budget, including a reduction in the funds allocated for the Sister Cities
Commission. He also provided Commissioners with data on the combined
overtime expenditures for Police, Fire, and Public Works and current property tax
collection totals. As a follow-up to our Joint Workshop with the Village Board,
Director Thakkar presented a breakdown on the average cost of municipal services
for residents in addition to the property tax levy.
c) The Commission engaged in a discussion about the combined water and sewer
rate increase previously approved and the proposed 8% rate increase for refuse
services. Staff provided context for our discussion with an overview of the 2017
Water Rate Study and pointed out that the infrastructure replacement for the
water/sewer utilities were showing a replacement cycle of 600 years. With the rates
implemented after the study, the replacement cycle has been improved to 130
years. Staff also informed us about the comparative rates for other Northwest
Suburban Municipal Joint Action Water Agency (NSMJAWA) members and that
the rates are fairly compatible.
The Finance Commission questioned the reasoning behind the refuse rates
and how it is determined. Staff informed the Commission that the refuse rates
include Republic Service contractual services, which increases by 2.25 percent
each year. On top of that there are tipping fees payable to Solid Waste Agency of
North Cook County (SWANCC) and it also increases each year based on the
financial needs of the SWANCC. There is also a leaf and yard waste collection
program overseen by the Village and utilizing the Village's own staff, equipment
and other operating costs. Staff also informed the Commission about the current
refuse rates as listed below:
Approved Actual
Year
Increase
Charges
Savings
2016
235.00
235.00
-
2017
250.00
235.00
15.00
2018
258.00
235.00
23.00
2019
258.00
235.00
23.00
2020
258.00
235.00
23.00
2021- Proposed
258.00
253.80
4.20
W
The Commission expressed concern over the proposed rate increase. While the
budget proposes a zero percent levy increase, which will help ease financial
pressure on our residents in the midst of a pandemic, we are simultaneously
increasing service charges that may have an adverse financial impact at an
already challenging time. Staff reiterated that an 8% rate increase seems higher
but the monthly rate will go up by $1.57. Commissioners noted, however, that due
to the pandemic many residents are working from home with their children e -
learning from home. Use of water may have increased for families over the course
of this year, with the possibility that some are already seeing higher than average
water bills. The Commission acknowledges the fact that the rates have remained
at the 2016 level and it was fiscally responsible not to increase the rates from 2017
to 2020. During this period, the Refuse fund balance was used to offset the deficit,
but now an attempt is being made to align the charge for services with the actual
cost of the program. The Commission also discussed the impact of incremental
charges on multi -family units. Staff also informed the Commission multi -family
refuse rates are the responsibility of landlords and tenants do not get a bill.
However, the end user ultimately pays the final charge and an increase in refuse
rates might result in an increase in the monthly rent. Staff informed that the average
multifamily unit has 2 Cubic Yard dumpster with three pickups in a week, and their
rate will be up from $179.82 to $194.3, that is an increase of $14.48 per month.
Staff showed that with 8% increase, the refuse utility will break even and for future
years, the increase will be around 3.5%. In the end, the Commission
acknowledged that there is a need to increase the refuse rates and agreed with
the staff recommendation, but the Commission also recommends to have
consistent and affordable increases over time instead of increasing the charge by
a large percentage in a single year. The Commission advises that moving forward
an increase in the user charges be based on the actual increase in the program
costs.
A motion and second was made to recommend adopting the budget as
presented with a recommendation that any future user charge increases should be
in line with annual increases in the program costs. The motion was approved
unanimously.
With this meeting we concluded our annual workplan. Please let me know
if you have any questions or concerns.
Respectfully Submitted
Trisha Chokshi
Chair— Finance Commission
37