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HomeMy WebLinkAbout2013-06-28 - Finance-Accounting Committee Meeting Agenda PacketYorba Linda Water District AGENDA YORBA LINDA WATER DISTRICT FINANCE - ACCOUNTING COMMITTEE MEETING Friday, June 28, 2013, 8:00 AM 1717 E Miraloma Ave, Placentia CA 92870 1. CALL TO ORDER 2. ROLL CALL COMMITTEE Director Phil Hawkins, Chair Director Gary T. Melton STAFF Stephen Parker, Finance Manager 3. PUBLIC COMMENTS Any individual wishing to address the committee is requested to identify themselves and state the matter on which they wish to comment. If the matter is on this agenda, the committee Chair will recognize the individual for their comment when the item is considered. No action will be taken on matters not listed on this agenda. Comments are limited to matters of public interest and matters within the jurisdiction of the Water District. Comments are limited to five minutes. 4. ACTION CALENDAR This portion of the agenda is for items where staff presentations and committee discussions are needed prior to formal committee action. 4.1. Sewer Charges Collected on the Tax Roll for Fiscal Year 2013/14 Recommendation. That the Committee recommend the Board of Directors adopt Resolution No. 13 XX Electing to Have Certain Sewer Maintenance Charges Collected on the FY 2013114 Tax Roll and Superseding Resolution No. 12 -16. 4.2. OPEB Deposit with CERBT Recommendation. That the Committee recommend the Board of Directors authorize staff to deposit $170,191 (the District's Annual Required Contribution) to the California Employees' Retirement Benefit Trust ( CERBT) for FY 2013114. 5. DISCUSSION ITEMS This portion of the agenda is for matters such as technical presentations, drafts of proposed policies, or similar items for which staff is seeking the advice and counsel of the Committee members. This portion of the agenda may also include items for information only. 5.1. Investment Report for Period Ending May 31, 2013 5.2. Budget to Actual Results for May 2013 5.3. Short -Term Financing Rate (Verbal Report) 5.4. Preparation of 1 Year vs. 2 Year Budget (Verbal Report) 5.5. Future Agenda Items and Staff Tasks 6. ADJOURNMENT 6.1. The next Finance - Accounting Committee meeting is scheduled to be held Monday, July 22, 2013 at 12:00 p.m. Items Distributed to the Committee Less Than 72 Hours Prior to the Meeting Pursuant to Government Code section 54957.5, non - exempt public records that relate to open session agenda items and are distributed to a majority of the Committee less than seventy -two (72) hours prior to the meeting will be available for public inspection in the lobby of the District's business office located at 1717 E. Miraloma Avenue, Placentia, CA 92870, during regular business hours. When practical, these public records will also be made available on the District's internet website accessible at http: / /www.ylwd.com /. Accommodations for the Disabled Any person may make a request for a disability - related modification or accommodation needed for that person to be able to participate in the public meeting by telephoning the Executive Secretary at 714 - 701 -3020, or writing to Yorba Linda Water District, P.O. Box 309, Yorba Linda, CA 92885 -0309. Requests must specify the nature of the disability and the type of accommodation requested. A telephone number or other contact information should be included so the District staff may discuss appropriate arrangements. Persons requesting a disability - related accommodation should make the request with adequate time before the meeting for the District to provide the requested accommodation. AGENDA REPORT Meeting Date: June 28, 2013 To: Finance - Accounting Committee From: Steve Conklin, Acting General Manager Presented By: Stephen Parker, Finance Manager Prepared By: Stephen Parker, Finance Manager Dept: Reviewed by Legal ITEM NO. 4.1 Finance Yes Subject: Sewer Charges Collected on the Tax Roll for Fiscal Year 2013/14 SUMMARY: Each year at this time, the Board of Directors elects to collect certain sewer maintenance charges on the property tax rolls. STAFF RECOMMENDATION: That the Committee recommend the Board of Directors adopt Resolution No. 13 -XX Electing to Have Certain Sewer Maintenance Charges Collected on the FY 2013/14 Tax Roll and Superseding Resolution No. 12 -16. DISCUSSION: The District collects the Sewer Maintenance Charge by adding it to the water bill of customers where the District provides water service and the customer also has a connection to the sewer system. For customers connected to the District sewer system that receive water service from another purveyor or those customers that do not receive a water bill from the District, the Sewer Maintenance Charge is collected through the property tax rolls prepared by the County of Orange Auditor /Controller. This process is legally authorized and established by Resolution of the Board. Residents of the Locke Ranch area do not receive water from the District, so their sewer charges are collected on the tax roll. In addition, due to the disparity in rates between the City of Yorba Linda and the District's Sewer Maintenance Charges, it has been determined that those classifications with rate differences need to be placed on the tax roll for collection until a Proposition 218 process can be completed to equalize the rates. The Sewer Maintenance Charges are subject to the substantive and procedural requirements of Proposition 218 (California Constitution Article XIII D) barring an increase in the rates and /or a discretionary CPI increase of more than 5 %, except with proper notification to the property owners affected allowing adequate opportunity to protest any such increases. Staff is not recommending a change to the current sewer maintenance charge at this time. To collect the current maintenance charges on the tax rolls for Fiscal Year 2013/14, the County of Orange Auditor /Controller's Office requires a certified Resolution by the Board of Directors directing their office to add the charges to the tax rolls for the properties assessed. The County establishes a deadline in August to receive this information. PRIOR RELEVANT BOARD ACTION(S): On July 26, 2012 the Board of Directors passed Resolution No. 12 -16 electing to have the sewer maintenance charges collected on the Fiscal Year 2012/13 tax roll. ATTACHMENTS: Description: Type: Resolution No. 13- XX.docx Resolution Backup Material RESOLUTION NO. 13 -XX RESOLUTION OF THE BOARD OF DIRECTORS OF THE YORBA LINDA WATER DISTRICT ELECTING TO HAVE CERTAIN SEWER MAINTENANCE CHARGES COLLECTED ON THE FISCAL YEAR 2013/14 TAX ROLL AND SUPERCEDING RESOLUTION NO. 12 -16 WHEREAS, Resolution No. 11 -17 set out sewer rates for the Yorba Linda Water District ( "District ") and via Resolution 07 -13 these rates are in compliance with substantive and procedural requirements of Proposition 218 (California Constitution Art. XIII D); and WHEREAS, under the authority of the California Water Code Sections 31100 the District may provide sewer service to property located outside the District boundaries and the District's Regulations for Rendition of Sanitary Sewer Service include a provision that a sewer maintenance charge is adopted by Resolution; and WHEREAS, under authority of California Water Code Sections 31101 and 31102 the District may prescribe and collect charges for sewer services and facilities and may collect sewer charges in any lawful manner; and WHEREAS, under California Health and Safety Code Sections 5471 and 5473 the District may elect to have the County of Orange Auditor /Controller collect sewer charges on the Orange County Property Tax Roll. NOW THEREFORE, BE IT RESOLVED by the Board of Directors of the Yorba Linda Water District to adopt Sewer Maintenance Charge as follows: Section 1. The Board of Directors elects to have the County of Orange Auditor /Controller collect the charges fixed herein on the tax roll in the same manner, by the same persons, and at the same time and together with and not separately from County of Orange taxes. Section 2. The General Manager or his designee is authorized and directed to file with the County of Orange Auditor /Controller a copy of this Resolution together with the listing of parcel numbers and amounts of charges shown in Exhibit "A" and such other documentation as the County Auditor /Controller may require in order to accomplish the purposes of this Resolution. Section 3. Resolution No. 12 -16 is superseded effective immediately by the adoption of this Resolution. Resolution No. 13 -XX Electing to Have Certain Sewer Maintenance Charges Collected on the FY 2013/14 Tax Roll PASSED AND ADOPTED this 11th day of July 2013 by the following called vote: AYES: NOES: ABSTAIN: ABSENT: Gary Melton, President Yorba Linda Water District ATTEST: Steven R. Conklin, Board Secretary Yorba Linda Water District Reviewed as to form by General Counsel: Arthur G. Kidman, Esq. Kidman Law LLP Resolution No. 13 -XX Electing to Have Certain Sewer Maintenance Charges Collected on the FY 2013/14 Tax Roll AGENDA REPORT Meeting Date: June 28, 2013 To: Finance - Accounting Committee From: Steve Conklin, Acting General Manager Presented By: Stephen Parker, Finance Manager Prepared By: Stephen Parker, Finance Manager Subject: OPEB Deposit with CERBT STAFF RECOMMENDATION: Budgeted: Total Budget: Cost Estimate: Funding Source: Account No: Dept: ITEM NO. 4.2 Yes $170,191 $170,191 Operating Funds 1- 2010- 0550 -00 Finance That the Committee recommend the Board of Directors authorize staff to deposit $170,191 (the District's Annual Required Contribution) to the California Employees' Retirement Benefit Trust (CERBT) for FY 2013/14. DISCUSSION: The District's budgeted Annual Required Contribution (ARC) for Other Post - Employment Benefits (OPEB) for FY 13/14 is $170,191. The anticipated OPEB pay -as- you -go expenses for FY 13/14 are $167,656. For FY 13/14, staff proposes that the District pre -fund the California Employees Retirement Benefit Trust (CERBT) with the ARC. By pre- funding the CERBT, the District can submit for reimbursement for actual retiree costs for the periods of July 2013 through June 2014, but take advantage of the CERBT's superior investment rate of return in the meantime. Staff is planning to submit those reimbursement requests at the end of FY 2013/14. PRIOR RELEVANT BOARD ACTION(S): On July 12, 2012, the Board authorized staff to deposit $275,197 to the California Employees Retirement Benefit Trust for FY 12/13, to pay down a portion of the District's Other Post Employment Benefits liability. Meeting Date: To: From: Presented By: Prepared By: Subject: SUMMARY: AGENDA REPORT June 28, 2013 Finance - Accounting Committee Steve Conklin, Acting General Manager Stephen Parker, Finance Dept: Manager Delia Lugo, Senior Accountant Investment Report for Period Ending May 31, 2013 ITEM NO. 5.1 Finance Staff is submitting the May 2013 Monthly Investment Reports for the Committee's review. DISCUSSION: The Investment Portfolio Report presents the market value and percent yield for all District investments by institution. The Investment Report Summary includes budget and actual interest and average term portfolio information as well as market value broken out by reserve categories. The total yield for the month ending May 31, 2013 is 0.74 %. The overall increase in the investment balance from the previous month is approximately $837,000. A couple of the larger balance changes include increases in the Water Operating fund of approximately $600,000 which is primarily due a decrease in our accounts payable obligations for this reporting month and an increase in the Reserve for Debt Service of $213,000 due to the District meeting its monthly obligation to ensure that funds are set aside for the September 2013 debt service principal and interest payments. As a result of the Board adopting a revised Investment Policy, as set forth in Resolution 13 -06, staff has moved forward with the overall goal of diversifying the District's investment portfolio. In the month of May a Federal Agency Security and Negotiable Certificates of Deposit that meet the guidelines of the Investment Policy were purchased. These purchases helped increase the portfolio's yield from 0.65% to 0.75% despite further decreases in LAIF and CaITRUST's Short Term and Medium Term pooled accounts. STRATEGIC PLAN: FR 1 -G: Continue to Improve Communications of the Districts Financial Information to the Board of Directors, Member Agencies, Management, and the Financial Community ATTACHMENTS: Ndllle. Description: Type: Invst 5- 13.xlsx Investment Report for Period Ending May 2013 Backup Material Invst Agenda Backup -May 2013.xlsx Agenda Backup Backup Material Yorba Linda Water District Investment Portfolio Report May 31, 2013 Market % Date of Percent Value Par of Total Institution Maturity Yield Checking Account. $ 246,089 $ 246,089 Wells Fargo Bank $ 246,089 $ 246,089 1.33% Total 0.00% Money Market Accounts: $ 54,954 23,245 736,935 $ 54,954 23,245 736,935 Wells Fargo Money Market US Bank (Revenue Bonds) Bank of the West 0.05% 0.04% 0.34% $ 815,134 $ 815,134 4.41% Total 0.31% Federal Agency Securities: 246,145 $ 498,400 $ 500,000 Fannie Mae 05/25/18 1.13% 246,249 2,139,703 248,000 2,144,397 Federal Home Loan Bank 05/28/14 1.35% $ 2,638,103 $ 2,644,397 14.29% Total 1.31% Certificates of Deposits: $ 246,145 $ 248,000 CIT Bank 05/22/18 1.20% 246,145 248,000 Discover 05/22/18 1.20% 246,145 248,000 Goldman Sachs Bank 05/22/18 1.20% 246,249 248,000 Beal Bank 05/23/18 1.00% 247,373 248,000 Wells Fargo 04/27/18 0.90% 246,212 247,000 Barclays Bank 05/14/18 1.07% 247,015 248,000 State Bank of India 05/14/18 1.15% 247,982 249,000 Webster Bank 05/03/18 0.90% 246,135 248,000 American Express Centurion Bank 05/28/18 1.20% 246,118 248,000 GE Capital Bank 05/24/18 1.10% 247,715 249,000 Merrick Bank 05/24/17 0.75% 246,725 248,000 BMW Bank 05/24/17 0.90% 247,860 249,000 Firstbank Puerto Rico 05/24/16 0.75% 247,160 249,000 Oriental Bank & Trust 05/29/18 1.05% 247,267 249,000 Silvergate Bank 05/30/18 1.00% $ 3,702,245 $ 3,724,000 20.05% Total 1.02% Pooled Investment Accounts: $ 350,379 $ 350,379 Local Agency Investment Fund 0.25% 29,463 29,476 Ca1TRUST Short Term 0.29% 10,683,813 10,688,619 Ca1TRUST Medium Term 0.56% $ 11,063,655 $ 11,068,474 59.92% 0.55% $ 18,465,227 $ 18,498,094 100% Total Investments 0.74% Per Government Code requirements, the Investment Report is in compliance with the Yorba Linda Water District's Investment Policy, and there are adequate funds available to meet budgeted and actual expenditures for the next six months. Delia Lugo, Senior Accountant 5/31/13 Investment Summary Report Below is a chart summarizing the yields as well as terms and maturities for the month of May 2013: Avg. Portfolio Avg. Portfolio # of Month Yield Without Yield With Days to of 2013 CaITRUST CaITRUST Maturity May 0.98% 0.74% 461 Below is are charts comparing operating fund interest for current and prior fiscal years. Actual Interest 5/31/2012 Monthly - April $ 32,494 Year -to -Date $ 223,138 5/31/2013 21,085 115,627 Budget 2011/2012 2012/2013 Interest Budget, April YTD $ 174,167 $ 137,500 Interest Budget, Annual $ 190,000 $ 150,000 Interest earned on investments is recorded in the fund that owns the investment. Investment Summary Comparison Between Current and Previous Month The distribution of investments in the portfolio both in dollars and as a percentage of the total portfolio by funds is as follows: April 2013 % Alloc May 2013 % Alloc Fund Description Balance 4/30/2013 Balance 5/31/2013 Water Operating Reserve $ 3,399,704 19.46% $ 3,922,419 19.46% Water Emergency Reserve 1,009,086 5.77% 1,006,647 5.77% Water Capital Project Reserve 7,770,376 44.46% 7,748,028 44.46% Water Reserve for Debt Service 796,836 4.56% 1,010,637 4.56% Maintenance Reserve 200,715 1.15% 200,715 1.15% COP Revenue Bond 2008 - Reserve 2,151,093 12.31% 2,162,948 12.31% Sewer Operating 16,267 0.09% 16,229 0.09% Sewer Emergency Reserve 1,008,077 5.77% 1,005,640 5.77% Sewer Capital Project Reserve 1,123,213 6.43% 1,145,875 6.43% $ 17,475,367 100.00% $ 18,219,138 100.00% Wells Fargo Bank Checking Water Operating (122,787) (21,263) Sewer Operating 275,953 267,352 153,166 246,089 Totals $ 17,628,533 $ 18,465,227 Meeting Date: To: From: Presented By: Prepared By: Subject: DISCUSSION: AGENDA REPORT June 28, 2013 Finance - Accounting Committee Steve Conklin, Acting General Manager Stephen Parker, Finance Dept: Manager Delia Lugo, Senior Accountant Budget to Actual Results for May 2013 ITEM NO. 5.2 Finance Attached are the District's budget to actual summary results for the Water Fund, Sewer Fund and a combined statement for both funds pertaining to the reporting month of May 2013. For the month of May 2013, the District water revenue is 93.7% of annual budget, which is 4.9% higher when compared to the historical trend for this point in the year. Variable water costs are trending close to budget. The majority of the Water Fund's individual Supplies and Services expenses are trending near budget, however the net Supplies and Services is trending slightly over budget. This is almost exclusively due to Materials expenses, which is approximately $160,000 over budget primarily due to spending that has already exceeded budget in replacement meters, valve repair parts, hydrant repair parts and water service repair parts in the amounts of $80,000, $35,000, $25,000 and $18,000, respectively. Overall, Sewer Supplies and Services expenses are trending slightly over budget. This is primarily due to the Water Fund's pass through plus Sewer's Maintenance fund being over budget due to Sewer Asphalt Paving not being budgeted ($32,000) and Sewer Line Repairs being overbudget by $5,000 with one month remaining due to more work occurring than anticipated. STRATEGIC PLAN: FR 1 -F: Continue to Record and Report the Fairly Stated Financial Activities of the District in a Timely and Transparent Manner to the Board of Directors and Member Agencies ATTACHMENTS: Description: Type: May 2013 Consolidated Stmt.xlsx May 2013 Consolidated Statement Backup Material May 2013 Water Stmt.xlsx May 2013 Water Statement Backup Material May 2013 Sewer Stmt.xlsx May 2013 Sewer Statement Backup Material Yorba Linda Water District Summary Financial Report Water & Sewer Funds For Eleven Months Ending May 31, 2013 Revenue (Operating): Water Revenue (Residential) Water Revenue (Commercial & Fire Det.) Water Revenue (Landscape /Irrigation) Water Revenue (Service Charge) Sewer Charge Revenue Locke Ranch Assessments Other Operating Revenue Total Operating Revenue: Revenue (Non- Operating) Original YTD YTD YTD Budget Actual Under(Over) % of FY 2013 FY 2013 Budget Budget $15,405,197 $14,483,211 $921,986 94.02% 1,822,665 1,735,799 86,866 95.23% 4,035,121 3,744,961 290,160 92.81% 3,755,191 3,408,424 346,767 90.77% 1,548,682 1,429,613 119,069 92.31% 198,433 198,244 189 99.90% 643,737 665,015 (21,278) 103.31% 27,409,026 25,665,267 1,743,759 93.64% Interest 170,000 115,628 54,372 68.02% Property Tax 1,244,320 1,312,741 (68,421) 105.50% Other Non - Operating Revenue 494,437 688,057 (193,620) 139.16% Total Non - Operating Revenue: 1,908,757 2,116,426 (207,669) 110.88% Total Revenue 29,317,783 27,781,693 1,536,090 94.76% Expenses (Operating) Variable Water Costs (G.W., Import & Power) 12,953,024 11,701,730 1,251,294 90.34% Salary Related Expenses 7,648,891 6,385,051 1,263,840 83.48% Supplies & Services 3,891,602 3,596,476 295,126 92.42% Total Operating Expenses 24,493,517 21,683,257 2,810,260 88.53% Expenses (Non- Operating): Interest on Long Term Debt 2,011,395 1,631,059 380,336 81.09% Other Expense 124,210 37,776 86,434 30.41% Total Non - Operating Expenses: 2,135,605 1,668,835 466,770 78.14% Total Expenses 26,629,122 23,352,092 3,277,030 87.69% Net Income (Loss) Before Capital Contributions 2,688,661 4,429,601 (1,740,940) 164.75% Capital Contributions - 350,819 350,819 0.00% Net Income (Loss) Before Depreciation 2,688,661 4,780,420 (1,390,121) 177.80% Depreciation & Amortization 6,602,339 6,274,591 327,748 95.04% Total Net Income (Loss) ($3,913,678) ($1,494,171) ($2,419,507) 38.18% Yorba Linda Water District Water Fund For Eleven Months Ending May 31, 2013 May YTD YTD YTD Budget Actual Actual Under(Over) % of FY 2013 FY 2013 FY 2013 Budget Budget Revenue (Operating) Water Revenue (Residential) $15,405,197 1,642,936 $14,483,211 $921,986 94.02% Water Revenue (Commercial & Fire Det.) 1,822,665 186,800 1,735,799 86,866 95.23% Water Revenue (Landscape /Irrigation) 4,035,121 416,458 3,744,961 290,160 92.81% Water Revenue (Service Charge) 3,755,191 313,818 3,408,424 346,767 90.77% Other Operating Revenue 585,929 52,663 607,654 (21,725) 103.71% Total Operating Revenue: 25,604,103 2,612,675 23,980,049 1,624,054 93.66% Revenue (Non- Operating): - 47,988 0.00% 259,656 352 Interest 150,000 19,914 100,917 49,083 67.28% Property Tax 1,244,320 42,195 1,312,741 (68,421) 105.50% Other Non - Operating Revenue 490,262 (7,212) 687,893 (197,631) 140.31% Total Non - Operating Revenue: 1,884,582 54,897 2,101,551 (216,969) 111.51% Total Revenue Expenses (Operating): Variable Water Costs (G.W., Import & Power) Salary Related Expenses Supplies & Services: Communications Contractual Services Data Processing Dues & Memberships Fees & Permits Board Election Insurance Materials District Activities, Emp Recognition Maintenance Non - Capital Equipment Office Expense Professional Services Training Travel & Conferences Uncollectible Accounts Utilities Vehicle Equipment Supplies & Services Sub -Total Total Operating Expenses Expenses (Non- Operating): Interest on Long Term Debt Other Expense Total Non - Operating Expenses: Total Expenses 27,488,685 2,667,572 26,081,600 1,407,085 94.88% 12,953,024 1,385,778 11,701,730 1,251,294 90.34% 6,741,403 406,348 5,654,913 1,086,490 87.70% 280,232 7,792 169,084 111,148 60.34% 455,041 36,774 388,914 66,127 85.47% 125,866 5,827 112,866 13,000 89.67% 57,609 147 52,500 5,109 91.13% 139,165 5,192 147,257 (8,092) 105.81% 47,988 - - 47,988 0.00% 259,656 352 248,491 11,165 95.70% 493,506 124,379 655,556 (162,050) 132.84% 17,298 694 17,131 167 99.03% 307,065 31,025 268,398 38,667 87.41% 109,782 5,735 112,918 (3,137) 102.86% 37,702 2,625 34,957 2,745 92.72% 740,578 43,205 670,602 69,976 90.55% 41,353 1,012 18,872 22,481 45.64% 40,833 916 21,764 19,069 53.30% 36,270 12,097 17,652 18,618 48.67% 79,050 9,152 73,718 5,332 93.25% 282,400 38,585 273,723 8,677 96.93% 3,551,393 325,509 3,284,403 266,990 92.48% 23,245,820 2,117,635 20,641,046 2,604,774 88.79% 2,009,777 142,044 1,631,059 378,718 81.16% 118,210 1,785 37,776 80,434 31.96% 2,127,987 143,829 1,668,835 459,152 78.42% 25,373,807 2,261,464 22,309,881 3,063,926 87.92% Net Income (Loss) Before Capital Contributions 2,114,878 406,108 3,771,719 (1,656,841) 178.34% Capital Contributions - - 193,770 193,770 0.00% Net Income (Loss) Before Depreciation 2,114,878 406,108 3,965,489 (1,463,071) 187.50% Depreciation &Amortization 5,332,175 478,735 5,083,653 248,522 95.34% Total Net Income (Loss) ($3,217,297) ($72,627) ($1,118,164) ($2,099,133) 34.75% Yorba Linda Water District $1,548,682 Sewer Fund $1,429,613 For Eleven Months Ending May 31, 2013 92.31% Locke Ranch Assessments May YTD YTD YTD 198,244 Budget Actual Actual Under(Over) % of Other Operating Revenue FY 2013 FY 2013 FY 2013 Budget Budget Revenue (Operating) Sewer Charge Revenue $1,548,682 $133,235 $1,429,613 $119,069 92.31% Locke Ranch Assessments 198,433 1,348 198,244 189 99.90% Other Operating Revenue 57,808 13,094 57,361 447 99.23% Total Operating Revenue: 1,804,923 147,677 1,685,218 119,705 93.37% Revenue (Non- Operating): Interest 20,000 1,170 14,711 5,289 73.56% Other Non - Operating Revenue 4,175 (6,331) 164 4,011 3.93% Total Non - Operating Revenue: 24,175 (5,161) 14,875 9,300 61.53% Total Revenue 1,829,098 142,516 1,700,093 129,005 92.95% Expenses (Operating): Salary Related Expenses 907,488 52,696 730,138 177,350 81.11% Supplies & Services: Communications 23,018 587 11,580 11,438 50.31% Contractual Services 34,280 2,847 30,017 4,263 87.56% Data Processing 9,474 439 8,673 801 91.55% Dues & Memberships 4,583 11 4,084 499 89.11% Fees & Permits 12,155 2,134 14,974 (2,819) 123.19% Board Election 3,612 - - 3,612 0.00% Insurance 19,544 26 18,702 842 95.69% Materials 34,519 3,901 17,340 17,179 50.23% District Activities, Emp Recognition 1,302 52 1,285 17 98.69% Maintenance 71,405 9,726 99,663 (28,258) 139.57% Non - Capital Equipment 18,269 220 15,256 3,013 83.51% Office Expense 2,823 186 2,620 203 92.81% Professional Services 36,882 2,232 26,978 9,904 73.15% Training 4,747 146 5,306 (559) 111.78% Travel & Conferences 3,418 69 1,353 2,065 39.59% Uncollectible Accounts 2,730 1,494 2,255 475 82.60% Utilities 5,950 743 6,303 (353) 105.93% Vehicle Equipment 51,499 3,512 45,684 5,815 88.71% Supplies & Services Sub -Total 340,209 28,325 312,073 28,136 91.73% Total Operating Expenses 1,247,697 81,021 1,042,211 205,486 83.53% Expenses (Non- Operating): Interest Expense 1,618 - - 1,618 0.00% Other Expense 6,000 - 6,000 0.00% Total Non - Operating Expenses: 7,618 - - 7,618 0.00% Total Expenses 1,255,315 81,021 1,042,211 213,104 83.02% Net Income (Loss) Before Capital Contributions 573,783 61,495 657,882 (84,099) 114.66% Capital Contributions - - 157,049 157,049 0.00% Net Income (Loss) Before Depreciation 573,783 61,495 814,931 72,950 142.03% Depreciation & Amortization 1,270,164 109,740 1,190,938 79,226 93.76% Total Net Income (Loss) ($696,381) ($48,245) ($376,007) ($320,374) 53.99%