HomeMy WebLinkAbout04 - Utility FundANNUAL BUDGET CITY OF GEORGETOWN
UTILITY FUND
The Utility Fund is an enterprise fund which operates like a business and
accounts for its transactions on an accrual basis. Revenues are recorded when
earned, and expenditures are recorded when the liability is incurred. The four
basic services provided by the Utility Fund are water, wastewater, electrical and
garbage collection services. Overall, the Utility Fund budget of $15,711,350
represents an increase of $1,548,530 over the previous year's budget due
primarily to increased utility contracts.
Transfers Out:
Total budgeted transfers out for fiscal 1989 are $3,578,663 which is $461,384
less than the previous year due primarily to the reduced electric capital
projects. Approximately half of the transfer budget ($1.7 million) is for payment
of principal and interest on outstanding Utility Fund debt. There is a transfer
of $908,191 to the General Fund. Other transfers are for general and utility
capital projects.
Public Works Administration.
All administrative duties as well as all division procedures of the Public
Utilities Department are handled through this office. Consolidation of all
public utility functions at one location and restructuring of Public Works is
our priority for this year,
Engineering:
The new position of City Engineer is budgeted in this department. The City
Engineer will support all activities of the City.
Utility Contracts.40
Expenditures relating to contracts required in the operation of the utility
system are recorded here. This includes franchise fees, contracts with the
Brazos River Authority for the purchase of water, wholesale power costs for the
purchase of electricity from the Lower Colorado River Authority, and insurance.
Budgeted LCRA electric purchases increased $1,895,000 due to electrical rate
increases and anticipated increased sales. This department includes a council
controlled contingency of $298,888,
Electrical Department
This department accounts for the expenditures relating to repair and maintenance
to the City's electrical distribution system. New and temporary service
connects, line maintenance and construction, monitoring the system for power
failures and general safety are all responsibilities of this department,
am
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ANNUAL BUDGET CITY OF GEORGETOWN
Pump Maintenance:
The Pump Maintenance crew is charged with the repair and maintenance of City
pumps in booster stations, swimming pool equipment, water treatment plants,
wastewater treatment plant, and various lift stations throughout the City.
This year's budget will include employee training which has been scheduled
for the improvement and efficiency of operations.
Water Distribution:
Maintaining a fully functional water distribution system while interfacing with
system improvements is the operation of this department. Repair, replacement of
existing water lines and the provision of a safe, dependable and efficient water
distribution system is the goal of this department.
The fiscal 1988/89 budget will include the completion of the southside water main
projects.
Lake Water Treatment Plant:
The production of the highest quality water supply and compliance with demand
is the purpose of this department. An active preventive maintenance program is
being implemented in fiscal 1988/89.
Wastewater Collection:
Responsibilities for this department are the repair and maintenance of wastewater
collection lines with the establishment of a preventive maintenance program to
assist in the efficient operation if this department,
Park Water Treatment Plant:
The production of the highest quality water supply and compliance with demand
is the purpose of this department. An active preventive maintenance program is
being implemented in fiscal 1988/89,
Wastewater Plant:
The Wastewater Treatment Plant is a facility with a capacity of up to 2.5 million
gallons of effluent. Total budgeted expenditures are slightly lower than the
previous year's allocation. The City is currently in the process of applying for
a permit to increase the capacity of the plant by 1.5 million gallons.
Engineering Support:
This department was eliminated in the 1988/89 budget,
Customer Service:
The accurate and timely reading of the City's utility meters, monitoring for
possible problems and coordination with the central computer system are the major
responsibilities of this department.
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ANNUAL BUDGET CITY OF GEORGETOWN
Purchasing and Properties:
Purchasing of materials or services for all departments within the City is the
primary function of this department. Control of fixed asset inventory and risk
management control have also become the responsibility of our Purchasing
Department. The maintenance of the fuel inventory/distribution system have
increased the budget for this department as of fiscal 1988/89,
Utility Office:
This office is responsible for all utility billing, collection and posting of
payments. The office also serves as central cashiering for all City deposits.
Other responsibilities of the office are the registering and monitoring of the
Community Center and the Good Neighbor Fund. A new addition to the department is
the Customer Service Representative.
Sanitation:
Sanitation provides for collection of solid waste material within the City and
the extra -territorial jurisdiction.
Facility Maintenance . :
Maintenance and repairs in all City owned and leased facilities are performed by
this department. The staff has been increased by one employee for the fiscal
year 1988/89.
The purchase of a power scrubber for maintenance of the floors in all City
facilities is budgeted for 1988/89.
Service Center:
The City's vehicles and related equipment are scheduled for repair and regular
maintenance and upkeep by the Service Center.
This department has added car wash equipment, an air compressor for the service
truck and a jack for the removal of brake drums from trucks to its budget for the
fiscal year of 1988/89.
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ANNUAL EUDGET CITY OF GEORGET®WN
LINE ITEM DETAIL OF UTILITY FUND REVENUES
1987/88
Account 1986/87 Estimated 1988/89
Description Actual Actual Approved
Connect Charges $ 45,365 $ 70,941 $ 65,000
Penalty 76,150 180,007 108,000
Service Fees 4,027 61,518 43,000
Commercial Electric 3,455,062 3,444,560 4,604,582
Residential Electric 31287,349 416883032 5,549,792
Taxable Fuel, Residential 888,890 0 0
Guardl ight , Non --Taxable 9.9309 0 0
Security Lights 0 13,538 0
LCRA Energy Rebates 9,579 7,329 7,250
Hook ---Up Fee 29,335 29,080 32$500
LCRA Fuel Charge Reimbursement 186,405 177,214 0
Water Revenue 21294,787 21670,743 22950,000
Water Taps 41,905 41,024 109800
Misc. Water,Hydrant,Eulk Sales 0 3,887 51200
Sewer Revenue 415,340 403,836 717,000
Sewer Taps 12,450 14,000 7,300
Garbage Residential In 324,676 338,246 362,000
Garbage Residential Out 389245 352921 38,000
Garbage Commercial In 135,739 1241052 145,000
Garbage Commercial Out 2,074 0 0
Garbage Landfill 52,391 371558 24,000
Miscellaneous Revenue 2,445 51362 5,000
Interest, Unrestricted 331,197 424,774 460,000
Interest, Restricted 36,475 0 0
Discounts Taken 144 21142 21100
Customer Adjustments 1,077 50,695 0
TOTAL REVENUES $11,680,416 $12,8249459 $15,136,524
. I U ILI IVALIM I
N � . WJ WUH KI) MH DO OIL
UTILITY FUND EXPENDITURES
1986/87
Account Estimated Approved
Description Actual 1987-1988
Public Works Administration
$ 530,9700
$ 406,514
Engineering
0
68,247
Utility Contracts
6.1256,170
8,909,880
Electrical
328,297
469,139
Pump Maintenance
219,833
225,786
Water Distribution
254,156
312,138
Lake Water Treatment Plant
120,444
158,676
Wastewater Collection
139,656
169,302
Park Water Treatment Plant
100,860
203,021
Wastewater Treatment Plant
121,517
114,719
Engineering Support -Inspection
102,382
0
Customer Service
86,628
93.9832
Purchasing
124,891
119,720
Utility Office
148,999
225,328
Sanitation
562,904
544,660
Facilities Maintenance
20,500
29.9261
Service Center
66,578
82,464
Transfers out
2s9042927
3,9578,663
Total Expenditures
$12,089,442
$15,711,350
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ANNUAL BUDGET CITY OF GEORGETOWN
UTILITY FUND BUDGETED REVENUES
ri Services
Elect c Se ces ...............................................................................................:.
Water Services {
Wastewater Services
Sanitation Services � �(
Interest
All Other
$0 $2 $4 $6 $8 $10 $12
Millions
� 1987/88 est. Actual 1988/89 Budgeted
1987/88
Estimated 198$/89
Actual Budget
Electrical Services $ 81572,917 $10,336,819
Water Services 21783,692 3,017,885
Wastewater Services 437,221 738,560
Sanitation Services 555,162 5832260
Interest 424,772 4602000
All Other 50,695 -
$12,824,459 $15,136,524
--------------------
--------------------
ANNUAL BUDGET
CITY OF GEORGETOWN
UTILITY FUND BUDGETED EXPENDITURES
Electric Services
Water Services
Debt Service
Capital Projects
Wastewater Services
Sanitation Services
Gen. Fund Transfers
All Other
$0 $2 $4 $6 $8 $10
Millions
1987/88 Est. Actual 1988/89 Budgeted
1987/88
Estimated
1988/89
Actual
Budget
Electrical Services
$ 6,305,558
$ 81690,937
Water Services
1,93822031
11706,081
Debt Service
1,294,439
1,752,510
Capital Projects
756,189
917,962
Wastewater Services
839,863
1,0302421
Sanitation Services
657,064
705,248
General Fund Transfer
775,102
908,191
All Other
79,196
-
$12,089,442
$15,711,350
ANNUAL
B
CITY OFGEORGETOWN
DEPARTMENT:
TRANSFERS OUT
$4-
$316
$3
'l:°'•:'�'L�••:
�2.7
$2
1
rs.w_.....wre°.._«.«..._w.
S•. .. 0 4° :. �•.°:°ti.'..�m.ar...r«..rrm.o._.w...>w►...._ .r�rw.e.r
$0.6
�. _.o....�_-_._...._....m.,....�
t•••:t OY: '•y:; a .__...._.«_. .__._.r.._..
$ ®
$0 $0 $0
:•7:' ® 0
PERSONNEL
OPERATIONS CAPITAL
86/87 ACTUAL
87/88 ACTUAL 88/86 BUDGET
PROGRAM AND ACTIVITY SUMMARY
Interfund. Transfers:
a) debt service; b) general capital projects funds;
c) utility capital
projects funds;
d) general.
GOALS AND OBJECTIVES
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ANNUAL BUDGET CITY OF GEORGETOWN
DEPARTMENT: PUBLIC UTILITIES ADMINISTRATION
Ab V27
$500-
$400 $369
T
H
0 $300
U
S
A
N $200 - ---------------
D$163 ...
$140$140 -
S .. ....... .
US,
$39 3 2
$0
PERSONNEL OPERATIONS CAPITAL
86/87 ACTUAL 87/88 ACTUAL 88/89 BUDGET
PROGRAM AND ACTIVITY SUMMARY
Administration: a) project scheduling; b) public communications.
GOALS AND OBJECTIVES
To provide increased productivity and efficiency while completing all capital
programs and projects in a timely manner within budgetary limitation
including daily operation of departments, engineering support,, project
organization and budgetary control in an efficient and responsive manner.
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DEPARTMENT: ENGINEERING
$250
H T $200
0
U
S $150
A
N
S D $100
$0
$0
PERSONNEL
F -t
NNIN-3 W[H X13 WH DN I
----------
$19
$0 $0
4
ME. WINME M
OPERATIONS CAPITAL
= 88/87 ACTUAL 87/88 ACTUAL 88/89 BUDGET
PROGRAM AND ACTIVITY SUMMARY
Operations: a) provide engineering support for City projects.
.GOALS AND OBJECTIVES
To provide prompt, less costly engineering services and support,
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ANNUAL BUDGET CITY OF GEORGETOWN
DEPARTMENT: UTILITY CONTRACTS
$10,$9
$0 $D $0 �0 $0 $0
$0
PERSONNEL OPERATIONS CAPITAL
� 86/87 ACTUAL 87/88 ACTUAL C 88/89 BUDGET
PROGRAM AND ACTIVITY SUMMARY
Programs: a) Wholesale Electrical Power from the Lowey Colorado River Authority;
b) Water contracts with the Brazos River Authority; c) Electrical, Water,
Wastewater, Sanitation Franchise Fees; dj Insurance; e} Leal Allocations;
f) Council Contingency.
GOALS AND (3BdECTIVES
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ANNUAL BUDGET CITY OF GEORGETOWN
DEPARTMENT: ELECTRICAL
$300 toon
$247
$250 - $227':
H $200
p $165
S $150__----------------
.............
A $116
N
D
S
11 $14
PERSONNEL OPERATIONS CAPITAL
� 86/87 ACTUAL 87/88 ACTUAL 88/89 BUDGET
PROGRAM AND ACTIVITY SUMMARY
Operations: a) maintenance and construction of lines; b) new and temporary
service connections; c) safety.
GOALS AND OBJECTIVES
To provide safe and efficient electrical service to the City with minimal
interruptions and to expand the service area.
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ANNUAL BUDGET CITE OF GEORGETOWN
DEPARTMENT: PUMP MAINTENANCE
$300-
$250
H $200
O
U
$129 -- $129
A
:::;;::<>:::::::
-----_.__----- ,,, ,,,;,,,,;,
S$100..::,,>:::<:<
0 $0 $ o $2
PERSONNEL OPERATIONS CAPITAL
� 86/87 ACTUAL 87/88 ACTUAL 88/89 BUDGET
PROGRAM AND ACTIVITY SiT1VilV1AiiY
Maintenance: a) all booster and lift stations; b) wastewater treatment plant;
c) implement preventive maintenance program.
GOALS AND OBJECTIVES
To economically maintain all assigned equipment in good operating condition,
under emergency conditions if necessary.
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ANNUAL BUDGET CITY OF GEORGETOWN
DEPARTMENT: WATER DISTRIBUTION
$300-
$250
$219
$200----
O $163 $170-
S X150 $127
A
N
D_----..�.__.__.--------------
::.:.;:.;:
50 -- - $25
$13 $12
PERSONNEL OPERATIONS CAPITAL
� 86/87 ACTUAL 87/88 ACTUAL 88189 BUDGET
PROGRAM AND ACTIVITY SUMMARY
Operations; a) maintain water mains; b) repair leaks in lines; c) build/replace
deteriorating lines.
GOALS AND OBJECTIVES
To operate and maintain a safe, dependable, efficient water distribution system.
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59
ANNUAL BUDGET CITY OF GEORGETOWN
DEPARTMENT: LAKE WATER TREATMENT PLANT
$300-
$250 .....
H $200
O
U
S$150 ...._ ....... ......... --- ------- -
A
N $102
$57
0$0 $0 $0 $d
$0-
PERSONNEL OPERATIONS CAPITAL
� 86/87 ACTUAL 87/88 ACTUAL. 88/89 BUDGET
PROGRAM AND ACTIVITY SUMMARY
Operations: a) Lake Water Treatment Plante
GOALS AND OBJECTIVES
The production of the highest quality water for Georgetown and exploration into
increased automation.
59
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ANNUAL BUDGET CITY OF GEORGETOWN
DEPARTMENT: WASTEWATER COLLECTION
$300- wit eme
$260
T
H $200
0
U
S $150
A $113
N $104
.........
D ...
S .............
$53
$50 .............
$21 $8 $16 $4
dr. 0 . ..............
19
PERSONNEL OPERATIONS CAPITAL
F77*777
86/87 ACTUAL 87/88 ACTUAL L. --j 88/89 BUDGET
PROGRAM AND ACTIVITY SUMMARY
Maintenance: a) establish control of infiltration into the collection system.
GOALS AND OBJECTIVES
To assure wastewater collection system operation through efficient repair,
preventive maintenance and reconstruction in the most cost effective manner.
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ANNUAL BUDGET
DEPARTMENT: PARK WATER TREATMENT PLANT
$300
$250
H T $200
0
U
S $150
A
N
S D $100
$50
R, u.s
............
$0 $0 $0
PERSONNEL OPERATIONS CAPITAL
88/87 ACTUAL 87/88 ACTUAL 88/89 BUDGET
PROGRAM AND ACTIVITY SUMMARY
Operations: a) production of high quaility water supply; b) coordinate production
to meet all demands.
GOALS AND OBJECTIVES
Establishment of an active preventive maintenance program; gain a high .level of
operational knowledge while maintaining efficient and quality production.
ANNUAL BUDGET CITY OF GEORGETOWN
DEPARTMENT: WASTEWATER TREATMENT PLANT
$300-
$250-___----_.___...------
___._�..___.-_--.--_____
H $200--
O
U
S $150
A
N
S $100
$53 X61 >_>
$28 $28
$0.9 $0
$0
PERSONNEL OPERATIONS CAPITAL
� 86!87 ACTUAL 87/88 ACTUAL ED 88/89 BUDGET
PROGRAM AND ACTIVITY SUMMARY
Operations: a) maintain lift stations; b) maintain treatment plant within permit
limitations.
GOALS AND OBJECTIVES
To provide sanitary sewer service to all citizens of the City; to ensure sanitary
conditions throughout the City; to abide by all State and Federal regulations; to
provide this service at the most reasonable cost and to complete the upgrading
of the plant facilities.
ANNUAL BUDGET CITY OF GEORGETOWN
DEPARTMENT: ENGINEERING SUPPORT AND INSPECTION
$300
$260
H T $200
0
U
S $160
A
N
S D $100
$60
$0
PERSONNEL OPERATIONS CAPITAL
= 88/87 ACTUAL 87/88 ACTUAL 88/89 BUDGET
PROGRAM AND ACTIVITY SUMMARY
Note: This department was eliminated for fiscal 1988/89,
GOALS AND OBJECTIVES
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ANNUAL BUDGET CITY OF GEORGETOWN
DEPARTMENT: CUSTOMER SERVICE
$30
$250
H T $200
0
U
S $160
A
N
S D $100
$50
$0
$68
..............
$19
$11
$0 $0 $0 $0
..... ....
_j
PERSONNEL OPERATIONS CAPITAL
86/87 ACTUAL 87/88 ACTUAL E3 88/89 BUDGET
PROGRAM AND ACTIVITY SUMMARY
Activities: a) implementation of a four-cycle meter reading program; b) replace
four and five hand meter dials with cyclometers,
GOALS AND OBJECTIVES
To provide accurate, timely reading of utility meters and promote a
professional image,
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ANNUAL BUDGET CITY OF GEORGETOWN
DEPARTMENT: PURCHASING AND PROPERTIES
$300-1-
$250
H $200 -.____-- _-_------- -- - ---
O
U
S $150
A
N
$100
S $68
---------- -------
$20 $25 $20$1
$6
$0
PERSONNEL OPERATIONS CAPITAL
� 86/87 ACTUAL 87188 ACTUAL 88/89 BUDGET
PROGRAM AND ACTIVITY SUMMARY
Operations: a) purchasing; b) receiving; c) central supply; d) bidding;
e) fixed asset control; f) insurance program.
GOALS AND OBJECTIVES
To secure the best goods or services of the right quality at the best price for
all departments within the City organization in accordance with State law and
City Charter requirements.
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ANNUAL BUDGET CITY.OF GEORGETOWN
DEPARTMENT: UTILITY OFFICE
$300
$260
H $200 - - ----- - -------
O
S $160 ---145
A $121
N $103
D$100 ----------_._-------_-____-._-------------
S
$66
$7
$1
$0
PERSONNEL OPERATIONS CAPITAL
� 86/87 ACTUAL 87/88 ACTUAL 88/89 BUDGET
PROGRAM AND ACTIVITY SUMMARY
Billing/Collections: a) billing; b) collections; c) customer accounts;
d) administration
Revenue Collection: a) miscellaneous billing and collections; b) deposits;
c) revenue projects.
GOALS AND OBJECTIVES
To make timely collections of all revenues coming into the City; to make accurate
reports of these revenues; to accurately bill and collect the miscellaneous
revenues.
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ANNUAL
BUDGET CITY OF GEORGETOWN
WATER USAGE
Gallons Billed
(MiII`(`py'n
Aug 87
140
Sep 87
145
Oct 87
:
81
Nov 87
70
Dec 87
: !
58
Jars 88
8
5
Feb 88
r
51 ,
,
i
Mar 88
i
53
Apr 88
,
a
#97
i
May 88
i
65 !
Jun 88
72
Jul 88
157
a
0 50 100 150
AUGUST, 1987 JULY, 1988
UTILITY CUSTOMERS
Number of customers
Aug87......
..... .... .....
Sep 87
Oct 87
................................
1 !
N o 87
Dec 87:.
Jan 88
F e b 88v
M a r 88
• V. d
Apr88
.:...:..... ........:.....:.:...: �� �.:...:... .:..__ �__ : .
May 88
Jun88
...... .... ....... .... .:...........:. ....:.:.:.:..:...::::
Jul 88
,
0 2000 4000 6000 8000
WATER CUSTOMERS ELECTRIC CUSTOMERS
ANNUAL BUDGET CITY OF GEORGETOWN]
DEPARTMENT: SANITATION
$500
$4015$416
$400--
T
400 T
H
O $300--
U
S
N$200-----...... ______.__.
D $169
S $131
$100-- ._..--�----------- �.._��
$56
EL$16
$d
$0
PERSONNEL OPERATIONS CAPITAL
r 86/87 ACTUAL 87/88 ACTUAL 88/89 BUDGET
PROGRAM AND ACTIVITY SUMMARY
Operations: a) collection of solid waste; b) brush pick up by request.
GOALS AND OBJECTIVES
To provide quality sanitation service to the City and explore alternate methods
of sanitation through privitization.
_87_
am
ANNUAL BUDGET CITY OF GEORGETOWN
DEPARTMENT: FACILITIES MAINTENANCE
$300 --_ ----
$250 -___`___--------_----__�.�_�______.`.__.__.________._____e_.----.---
H $200
O
S $150
A
N
S$100__-__----------__.._.__-----_.____..._--------__-_-___---�._.�.------------___-------------.___-.
-----
X12 $18 $0 $4 $119 $p $4 $2
$0
PERSONNEL OPERATIONS CAPITAL
� e6ee7 acTunL 87i88 AcruaL ELD seise BUDGET
PROGRAM AND ACTIVITY SUMMARY
Operations: a) maintain a scheduled cleaning program of all City facilities;
b) periodic special cleaning of floors; c) provide for miner repairs to
facilities,
GOALS AND OBJECTIVES
To provide uniform appearance and cleanliness throughout all City facilities.
am
0