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PINE-STRAWBERRY WATER IMPROVEMENT DISTRICT

APPROVED 5/29/2025 PROPOSED BUDGET (CASH BASIS) FOR FISCAL YEAR 2025/2026

REVENUE (CASH IN)

Cash Carry Forward – Reserve Fund

 

           FY26              

270,000.00

Capital Project Carryforward               569,000.00
  SUBTOTAL: CARRY OVER 839,000.00
Property Tax Levies   1,049,634.00
Customer Sales-Includes Board Approved 8% Rate Increase   2,948,000.00
Miscellaneous Revenues   242,000.00
USDA/WIFA Funded CIP Construction Loan   4,008,286.00
Grants/Non-Revenue Funds   1,500,000.00
Sales Tax on Revenues               219,780.00
  SUBTOTAL: CASH IN FLOWS 9,967,700.00
  TOTAL REVENUE        10,806,700.00

 

EXPENSES (CASH OUT)

Operations 448,000.00
Field Labor & Benefits 672,000.00
Administrative – ALL (including labor & benefits) 797,000.00
Administrative Professional Fees 350,000.00
Capital Projects/Repairs 1,010,440.00
Infrastructure Repairs 400,000.00
Equipment Replacement 200,000.00
USDA/WIFA Funded CIP Construction Loan 4,008,286.00
Potential Grants/Non-Revenue Funds 1,500,000.00
Debt Service/Building & Land Lease 24,000.00
Debt Service/WIFA Loan – Principal & Interest 504,852.00
Debt Service/USDA Loan – Principal & Interest 162,972.00
Debt Service/USDA Loans – Interest Only 223,073.00
Debt Service/USDA Loan – Reserve 16,297.00
Sales Tax on Revenues 219,780.00
SUBTOTAL: OPERATIONS & CAPITAL EXPENSES   10,536,700.00
  TOTAL EXPENSES 10,536,700.00
Cash Carry Forward – Reserve Fund    
SUBTOTAL: RESERVE FUNDS   270,000.00
TOTAL EXPENSES INCLUDING RESERVES   10,806,700.00