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File #: RES 17-181    Version: 1 Name: Adopt 2018 Water, Sewer Utility Budgets
Type: Resolution Status: Passed
File created: 12/7/2017 In control: City Council
On agenda: 12/7/2017 Final action: 12/7/2017
Title: ADOPT THE 2018 WATER AND SEWER UTILITY ENTERPRISE FUND BUDGETS
Sponsors: Joe Huss
Attachments: 1. 2018 Water Fund Overview, 2. 2018 Sewer Fund Overview

ADMINISTRATION - Joe Huss, Finance Director

 

Title

ADOPT THE 2018 WATER AND SEWER UTILITY ENTERPRISE FUND BUDGETS

 

Background

Council has reviewed the 2018 proposed budgets for the Water and Sanitary Sewer Funds at two previous Workshops and per the following summaries, has directed staff to bring forth the budgets as presented for formal adoption.

 

                     Water Utility Fund

o                     Operations - The fund is expected to generate positive net operating income of roughly $20,000 for 2017.  With the anticipated capital and infrastructure improvements over the next three years, including the construction of a water treatment plant, operating expenses are expected to increase significantly over the next three years.  Hence, staff is recommending an increase in water fees to be phased in over the next five years beginning in 2018.

§                     Revenues

                     For 2018, budgeted revenue from water sales is 3% above projected 2017 revenue and aligns with what would be expected in a typical year with typical rainfall and water usage.

                     Other operating revenues are expected to increase by roughly $45,000 in 2019 and remain flat over the next three years.

§                     Expenditures

                     Operating expenditures are projected to see increases of 1.4% in 2018 and 4% in 2019.  In 2020, with the water treatment plant in full operation, operating expenses are projected to increase 24%.  Projections over the following three years indicate expected increases of 2.4% annually. 

o                     Capital Activity

§                     Major capital activity includes:

                     $4 million for the first phase of construction of a new water treatment plant

                     $4 million in well houses rehabilitation

                     $3.7 million for AMR radio replacement

                     $1.3 million for water-main work in the Northeast well-fields

                     $1.2 million in SCADA system updates

§                     The Water Access Charge (WAC) will increase from $1,730 to $1,765 for residential property and from $4,370 per acre to $4,457 per acre for commercial property pursuant to the fund’s 20-year capital improvement plan.

o                     5-year Outlook - Stable operations, with annual rate increases of 10¢ per 1,000 gallons over the next five years.  Capital improvements totaling $35 million are anticipated for 2019-2022.

 

                     Sewer Utility Fund

o                     Operations - The operation is expected to end 2017 with an operating loss of $392,000.  An operating loss of $200,000 is anticipated for 2018 as MCES charges will increase more moderately in 2018 (2.1%) and a rate increase of $1/month is implemented for 2018.  The current 5-year outlook indicates an annual increase of $1/month over the next four years.

o                     Capital Activity

§                     About $4 million is budgeted for 2018, with $2 million set aside for slip lining and $1.6 million budgeted for the fund’s share of SCADA improvements.

o                     5-year Outlook - With the implementation of the proposed fee increase, the Sewer utility Fund’s outlook begins to stabilize in 2019 as operating losses are reduced.  For capital improvements, in addition to the $2 million of slip-lining in 2019, $1.7 million is projected for trunk extensions in 2019 and 2020.

 

Recommendation

By motion, adopt the following resolution approving the 2018 Water and Sanitary Sewer Utilities Funds budgets.

 

Body

WHEREAS, the proposed Utility Enterprise Funds Budgets for the fiscal year commencing January 1, 2018 have been prepared by the City Manager; and

 

WHEREAS, the City Council has examined, studied, and reviewed said proposed Utility Enterprise Funds Budgets; and

 

WHEREAS, the City Council has, after due consideration and deliberation, made such amendments and adjustments in the proposed Utility Enterprise Funds Budgets as they consider necessary, desirable, or expedient.

 

NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Blaine as follows:

1.                     That the proposed Budgets for the Water and Sewer Utility Funds attached hereto are approved.

2.                     That the 2018 appropriations attached hereto are approved.

3.                     That the 2018 funding sources and fee adjustments identified and attached hereto are approved.

4.                     That the City Manager is authorized and directed to implement and to administer, within the budgetary funding limits and within adopted City policy and relevant State and City laws and regulations, said approved Utility Enterprise Fund Budgets.

 

PASSED by the City Council of the City of Blaine this 7th day of December, 2017.