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HomeMy WebLinkAbout1987-06-11 - Resolution No. 87-13• • RESOLUTION NO. 07-13 RESOLUT1uN OF THE BOARD OF DIREL_TORS OF YORBA LINDA WATER DISTRICT ADOPTING 1 f?i i t- 8 WATER AND SE',YER BUDGET WHEREAS, he tail o he `i or oa Linda Water District nas prepared an extensi ve " 1987-88 Budget Report", and, WHEREAS, ..,,..e 1987, no8 r,-o , on Junw, the _he 1988 Budget Report vas presented to and reviewed by the Finance Committee of the Board of Directors of the District; and, WHEREAS, on June" , 1967 the Finance Committee presented the 1987-88 Budget Report to the Board of Directors at a regular meeting, +IO`rY THEREFORE BE IT RESOLVED by the Board of Directors of the Yorba Linda Water District as follows: Section 1. That the 1987-88 Water Fund Budget, as more particularly set forth in Exhibit "A" attached hereto, be and hereby is approved and adopted. Section 2. That the 1987-88 Sewer Fund Budget, as more particularly set forth in Exhibit "B" attached hereto, be and hereby is approved and adopted. 'section 3. That the 1987-88 Budget will conform to the specifications and standards of the County of Orange. Section 4. That all conflicting resolutions and minute orders are hereby repealed. Passed and adopted this].1rMay of June, 1987 by the following called vote: Ayes: Directors Sterling Fox, M. Roy Knauft, Jr., Whit Cromwell, William R. Mills, Jr. Noes: None AbS&t: Paul R. Armstrong Abstain: None President ATTEST: a/ 4creta • • EXHIBIT "A" TO YORBA LINDA WATER DISTRICT RESOLUTION NO, 87-13 Water Operations Fund Fiscal Year 1987-88 Water Operations Fund Revenues: Forecasted Water sales: $4,539,311 Forecasted Other Revenues: Property Taxes $380,000 Interest 220,000 Rent 6,389 Royalties 10,000 TOTAL WATER FUND REVENUES $5.155.700 Water Operations Fund Expenditures: Variable Operating $2,449,000 General and Administrative 673,100 Personnel Compensation 1,258,600 Other 775,000 TOTAL WATER FUND EXPENDITURES $5.155.700 EXM1EIT "E" T,-, YORBA LINDA WATER DISTRICT RESdOLUTION NO, 8?- 13 Sewer Operations Fund Fiscal Year 1987-88 Sewer Operations Fund Revenues: Fund Balance at June 30, 1987 $79,300 Direct Billings 165,000 Special Assessments 22,500 Interest 100,000 Frontage Fees 32,200 Records and Overhead 4,700 Other 1 1 ,600 TOTAL SEWER FUND REVENUES: 5415.300 Sewer Operations Fund x nditures: General and Administrative: • Direct expenditures $30,000 • Allocation from Water Fund 29,000 Personnel Compensation 140,300 Other: • Contingency $26,000 • Catastrophic Restoration 50,000 • Depreciation 140,000 TOTAL SEWER FUND EXPENDITURES $415,300