06/08/1989 - Minutes M3:9
MINUTES: Committee of the Whole
Thursday, June 8, 1989
6:30 - 9:30 p.m.
City Council Conference Room
City & County Building, Room 325
451 South State Street
In Attendance: Florence Bittner, Wayne Horrocks, Sydney Fonnesbeck, Alan
Hardman, Tom G0dfr0y, Roselyn Kirk, Willie Stoler, Cindy Gust-Jenson, Mike
Zuhl, Linda Hamilton, Christine Richman, Lee King, Cam Caldwell, Scott Bond,
LeRoy Hooton, Jim Lewis, Kimball Young, Steve Lowe, Rosemary Davis, Buzz Hunt,
John Gust, Joe Anderson, Major Ed Johnson, Officer John Dunn, Press
1. The City Council discussed the proposed rate increase for the water
utility. Council Member Bittner stated that she felt that a 10% increase
imposed at one time was too large a burden for the City's residents. Jim
Lewis, Budget Officer for Public Utilities, reviewed the various options to
the 10% increase, a copy of briefing is attached. Mr. Lewis stated that under
any of the scenarios, the result will be decreased revenues with which to
begin the water utility's capital improvements program. Council Member
Fonnesbeck asked what justification there is for delaying the increase when it
is obvious that the full 10% increase will need to be in place prior to
commencing with the improvements. She observed that if residents will be
concerned about the increase in July, they would be as concerned in January.
She stated that she feared that City residents would see the delay simply as
an election year game. She indicated that the water utility must be self-
sufficient, and the only way for the utility to meet its goals to remain cost
efficient is to implement the increase.
Council Member Horrocks asked what impact the loss of the approximately
$300,000 would have on the Utility. LeRoy Hooton, Director of Public
Utilities, indicated that the ideal situation for a utility is to use a
minimum of two percent of annual revenues for capital improvements. He stated
that the Utility needs to keep up with its schedule capital improvements
because delaying replacement of outdated pipes costs more in emergency repair.
Council Member Horrocks asked when the utility would require another rate
increase if the entire 10% were approved for July 1. Mr. Lewis indicated
that, according to the Utility's estimates, they could meet operating costs
and perform necessary capital improvements for the next five years without
requiring another rate increase. However, Mr. Lewis indicated that if the
Federal Government imposes additional water standards on the Utility before
the five years is up they will need to increase water rates again to
accommodate the increased standards. Mr. Hooton observed that if the Utility
allows itself to get behind on its capital improvement program and then the
federal government imposes new water standards, the necessary rate increase
would be even higher.
Council Member Bittner indicated that her greatest concern is the
minimum payment imposed on water users who use very little water and are
primarily elderly. Mr. Hooton stated that if the minimum is removed, he would
have no way to guarantee revenues. He indicated that 80% of his costs are
fixed, and the only area where he could make up the difference is in capital
improvements. Mr. Hooton observed that whether or not a user exceed the
minimum depends not on age, but on the size of the home and yard.
Council Member Horrocks asked if the Utility was planning on bonding
for the improvements and using the rate increase to pay the bonds. Mr. Hooton
indicated that the capital improvement program is a pay-as-you-go program.
Council Member Bittner asked if it would be possible to borrow fund from the
sewer utility's fund balance to fund the capital improvements in the water
utility. Mr. Hooton indicated that this wouldn't be wise in a business sense
because the sewer fund needs the money in case the federal government imposes
additional regulations. Council Member Bittner asked if it would be feasible
th lower the minimum payment amount and offset lost revenue by increasing
overall water rates. Council Member Hardman suggested that the water utility
implement an abatement program similar to that used by the trash collection
fund. He indicated that the program in the trash fund does not require
residents to submit an application to the City, it simply appropriates the
approved abatement properties from the County property tax rolls and
automatically implements an abatement. Mr. Lewis stated that it may be costly
but, could be accomplished. Council Member Bittner asked if the abatement
program could be implemented so that the residents would see no net increase
in their bottom line billing. Mr. Hooton indicated that if the Council wished
to implement an abatement program for City residents, the same program would
have to be offered to County residents because the City legally cannot treat
customers differently. Mr. Lewis indicated that his estimate for the total
loss to the City through an abatement program would be $24,000.
Council Member Kirk stated that she could go along with the abatement
program, but she is unwilling to delay the rate increase because the residents
will complain about the rates no matter when the Council chooses to implement
them. Council Member Hardman asked if any of the Council Members had a
problem with implementing the 10% increase and an abatement program. No
Council Member voiced objections.
2. The City Council discussed the Capital Improvement Program/Sunnyside
Recreation Center project. Scott Bond, Manager of Policy and Budget,
indicated that the Administration has been working on the Recreation Center
issue and has come up with some recommendations pertaining to the project. He
distributed a list of the issues and possible solutions to the Council, a copy
of which is attached. Mr. Bond indicated that some of the figures had changed
since he had developed the information memo for the Council. He indicated
that the architect had revised the plans and the estimated cost of the project
for everything except City Engineering fees is now $2, 100,000. He stated that
City Engineer had requested $70,000 for the inspections through his office,
and that the Administration had agreed that this money should come from City
resources.
Mr. Bond indicated that the Administration had identified two possible
funding sources for the $70,000. The first is from the Parks Department
Capital Improvements Program/Softball Park Project. The second is from the
Parks Department Special fund for Parks Capital Improvements. Council Members
indicated that the first source is unacceptable because it would entail taking
funding from a westside project for an eastside project. Lee King, Council
Budget Analyst/Auditor, stated that as of Wednesday afternoon the Parks
Department had not identified a use for the funding in the Parks Department
Special fund. Sheryl Gillilan stated that the Parks Department had contacted
her earlier in the afternoon to advise her that they now have a proposal for
using the funding to renovate the Memorial House.
Linda Hamilton stated that the Parks Department is not planning on
using the funding for the softball park for approximately 2 years and had
stated that they were willing to fund the engineering fees from that money.
Council Member Godfrey stated that the problem with using the softball park
money is the question of when the City would be able to reimburse the project.
The Council directed staff to identify funding sources for the $70,000,
including the possibility of funding it from the delayed Firestation No. 10
project.
Mr. Bond stated that the Sunnyside Recreation Center project now
includes a 5% contingency fund which is more than originally budgeted, but
less than the City Engineer's Office feels is adequate. Council Member Kirk
stated that from the outset of development of the project, the City has taken
the lead and cannot backout at this point. She observed that the residents
have demonstrated a great deal of commitment to the project by coming up with
an additional $200,000 over and above the required $700,000. Steve Lowe,
Sunnyside Recreation Citizens Committee, indicated that although the residents
have demonstrated a great deal of tenacity in promoting the project, the City
is still the ultimate backstop for any operating shortfalls or ongoing
problems. Mr. Bond indicated that because of the City's role as the ultimate
backstop, the Administration recommends that the City own the facility. He
indicated that in order to receive the land from the Bureau of Land Management
for free, the entity receiving title must be a government entity. Mr. Lowe
indicated that there are no public swimming facilities on the eastside of the
City. He stated that the residents of the area have been asking for a
swimming facility for years, and then decided that the best way to get one was
to enter into a private/public partnership to help the City out.
Council Member Bittner indicated that it is not her intention to "kill"
the project, but that she would like to understand all of the ramifications
before funding the project. Council Member Horrocks asked if there was any
way to ensure that the residents will remain active in the project and
construction is complete. Mr. Lowe stated that there is always a risk that
the residents would withdraw their support from the project, but the track
record of similar facilities is that the neighborhoods demonstrate strong
support and utilization for a number of years. Mr. Bond stated that in
addition to using the facilities, two neighborhood representatives would be
included on the Board.
3. The City Council reviewed final staff recommendations for the Fiscal
Year 1989-90 budgets. Cindy Gust-Jenson stated that the budget is currently
$8,000 out of balance. She indicated that staff had identified a number of
possible areas through which the additional funding may be acquired. The
Council voted 6-1 in favor of funding the $8,000 through a delay in hiring of
the Parks Recreation Manager if the Department did not find that such a delay
would seriously jeopardize their program.
Council Member Kirk indicated that she wished to change her vote on the
funding of the Internal Auditor if the Finance Department. The Council
conducted a straw poll on the Internal Auditor and voted 4-3 to deny funding.
The Council then conducted a straw poll on the issue of eliminating funding
for one dispatcher and voted 6-1 to maintain funding.
Council Member Hardman presented information on one way to privatize
the neighborhood trash pickup. Council Member Hardman indicated that although
the program isn't exactly what he was asking for, he would like to submit a
legislative intent for the Council's consideration asking that the
Administration investigate the possibility of privatizing the neighborhood
trash pickup without changing the service level.
W. M. "Wi lie" Stoler, air
ATTEST:
Cit ec
•
•
OFFICE-OF -THE --CITY, COUNCIL
CITY AND COUNTY BUILDING
451 SOUTH STATE STREET, SUITE 304
SALT LAKE CITY, UTAH 84111
535-7600 •
May 16, 1989
MEMORANDUM
TO: Council Members
FROM: Lee King
RE: Public Utilities.Rate .Structure •
•
At the request of a Council Member, Public Utilities has prepared a
comparison of different water and sewer rate increase scenarios. In Providing
this information to us, the Public Utilities staff stressed that the Public
Utilities Department's official position is still in support of the Mayor's
recommendation. They are providing this documentation as information to the
Council.
Attachment A is a spreadsheet showing these comparisons and the impact
on the small residential user. There are seven options shown. The Proposed
Rate Increase line reflects the rate submitted by the Administration and
discussed by Council on April 17. This is a 10% increase in water and a 6%
decrease in sewer. As you'll recall, the purpose of the proposed rate
increase is to fund major capital improvements needed by the Water Utility
Fund. Any changes to the proposed rate structure will have an impact on the
number of capital projects that can be completed in a given year. Rates were
established to generate $2,000,000 each year for the life of the 5 Year
Capital Improvement Program.
Option 1 is a 10% increase in water and a 12% decrease in sewer. Option
2 is a 5% increase in water and a 6% decrease in sewer. Option 3 is a 5%
increase in water and a 6% decrease in sewer. This is the same as the
previous option except that minimum and usage rates are changed. Option 4 is
a 3% increase in water and a 6% decrease in sewer. Option 5 is a 7% increase
in water and a 6% decrease in sewer. motion 6 is a phased option, with a 7%
increase in water rates on July 1, 1989 and an additional 3% on January 1,
1990. Sewer is a 6% decrease. The net impact of this option is a decrease of
$300,000 in the Water Utility Fund for the first year. In succeeding years,
$2,000,000 is available for capital improvements
In addition to the impact that each of these scenarios would have on the
Capital Improvement Program, there are additional factors that will eventually
impact the total dollars available for capital improvements in Public
Utilities. Not included are the latest salary projections, costs for Parley's
Treatment Plant, or estimated dollars for payment-in-lieu-of-taxes. Payment-
in-lieu-of-taxes is addressed in the Peat Marwick study provided to you under
separate cover. Any one or combination of these factors would reduce the
amount available for capital improvements
Attachments B and C are the proposed Capital Improvement Programs for
Water and Sewer. Those line items that are highlighted cannot be reduced due
to contractual obligations. Reductions would come from the remaining
projects. Attachments D and E are projected cash flows assuming the
Administration's proposed rate increase.
If you would like more information on this, let me or Cindy know.
Attachments
CC: Cindy Gust-Jenson
Jim Lewis
•
LEROY W. HOOTON, JR.
DIRECTOR
WENDELL E. EVENSEN, P.E. (�I
WATERS SUPPLY SUPERINTENDENT
&WAATEFNVORKS ""' �.�_�� j �\r ,+►���i,�`.Mi�
E. TIM DOXEY
SUPERINTENDENT DEPARTMENT OF PUBLIC UTILITIES
WATER RECLAMATION WATER SUPPLY & WATERWORKS PALMER DEPAULIS
JAMES M. LEWIS, C.P.A. WATER RECLAMATION MAYOR
CHIEF FINANCE&
ACCOUNTING OFFICER 1530 SOUTH WEST TEMPLE
GEORGE JORGENSEN, RE. SALT LAKE CITY, UTAH 84115
CHIEF ENGINEER
May 12, 1989
TO: City Council
FROM: LeRoy Hooton, Jr. 114•
SUBJECT: Rate Increase Options
Per your request, attached are schedules which might assist you in the budget
process.
Attachment A - Different Rate ,Increase Options
Attachment B - Water Capital Improvement Budget
Attachment C - Sewer Capital Improvement Budget
Attachment D - Water Cash Flow Under Current Proposed Budget
Attachment E - Sewer Cash Flow Under Current Proposed Budget
Attachment F - Sewer Cash Flow Under Proposed Sewer Rate Decrease of 12%
Please be aware that with each option the Capital Improvement Budget would
require adjustment. Plus any additional pay offer above the mayors proposed budget
or in lieu of property tax charge would also require adjustment to the Water and
Sewer Utility Capital Improvement Program. If you should have question please call
my office at 483-6768.
D1-LETTERS-169
RUM UTILITIES ATTACHMENT A
WATER AND SEINER RAZE INCREASE CCUPARISON •,
SMALL MALL • AVERAGE AVERAGE
BASE USA RESIDENTIAL RESIDENTIAL RESIDENTIAL RESIDENTIAL FW S PERCENT •
CPTICNS RAZE RATE USER Il3CREA.5~ USER IlICREAS; GENERATED RATE 1NCREASE
WATER RATES
CIJE RENT RATES 5.70 0.33 63.40 135.23
PRCPOSED RAID INCREASE 6.70 0.42 80.40 12.00 154.32 19.04 2,000,000 10 PERCENT
1.00 min & .04 usage
ceucei CNE 6.70 0.42 80.40 12.00 154.32 19.04 2,000,000 10 PERCENT
1.00 min & .04 umge
CPTICN '1W) 6.70 0.33 80.40 12.00 147.23 12.00 1,000,000 5 PEAT
1.00 min & .0 usage .
CPTICN ¶IUREE 6.20 0.40 74.40 • . 6.00 144.80 9.52 1,000,000 5 PERCENT
.50 min & .02 usage
CPTICN ECLR2 6.20 0.33 74.40 6.00 141.23 6.00 5C0,000 3 PERCENT
.50 min & .0 usage
CPTICN FIVE 6.10 0.42 73.20 4.80 147.12 11.84 1,400,030 7 PERCENT
.40 min & .04 usage
CPTICN SIX
.40 min & .04 usage 7/1/89 6.10 0.42 36.60 73.56
.60 min 1/1/90 6.70 0.42 40.20 8.40 77.16 15.44 1,700,000 7 PERCENT 7/1/89
3 PERCENT 12/1/90
SEINER RAZES
CIWENT RATES 0.85 81.60 91.80
P RATE 1N]EA.% 0.80 • 76.80 -4.80 86.40 -5.40 -700,000 6 PERCENT
CPTICN CNE 0.75 72.00 -9.60 81.00 -10.80 -1,400,000 12 PERCENT
CPTICN TWO 0.80 76.80 -4.80 86.40 -5.40 -700,030 6 PERCENT
CPTICN ITEM 0.80 76.80 -4.80 86.40 -5.40 -700,030 6 PERCEI\IC
CPTICN ECUR 0.80 76.80 -4.80 86.40 -5.40 -700,000 6 PERCENT
CPTICN FIVE 0.80 76.80 -4.80 86.40 -5.40 -7C0,000 6 PERCENT
CPTICN SIX 0.80 76.80 -4.80 86.40 -5.40 -700,000 6 PERCENT
NET DIEPVCE
CURRENT RATES 0.00 PER YEAR 0.00 PER YEAR
PROPOSED RATE INCRFAffi 7.20 PER YEAR 13.64 PER YEAR
CPTICN CNE 2.40 PER YEAR 8.24 PER YEAR
CPTICN TWO 7.20 PER YEAR 6.60 PER YEAR
CPTICN 'THREE 1.20 PER YEAR 4.12 PER YEAR
CPTICN RIR2 1.20 PER YEAR 0.60 PER YEAR
CPTICN FIVE 0.00 PER YEAR 6.44 PER YEAR
CPTICN SIX
FIRST MAR 3.60 PER YEAR 10.04 PER YEAR
SECOND YEAR 7.3) PER YEAR 13.64 PFR YEAR
ATTACHMENT B
ITEMS HIGHLIGHTED CANNOT BE REDUCED DUE TO CONTRACTUAL OBLIGATIONS WATER UTILITY FUND ND. 51 G.A.KE7 ,I
TENTATIVE CAPITAL RTr P D1-ELDGET
CPTLQV#2/RAJE JN1FAsE FORME ETS;AL YEAR ErDIM3 J[.rE 30, 1990 05/03/89
.PAGE 1 CF 5
RESERVE FCR RF,gRVOIR ONIRIEUrxa1S
(MST CEJECP Cl2RENT AND SPPLY LINES IN AID TO RATE RESGRVE FOR SEDER TOTAL
CENTER amp DE912IPTICII FARNIN3S Cray Q]VTR( QiVSIRUr1TCN IN2RFASE INFROVENENIS LOAN CAPITAL
51-01301-2710.10 LAND
51-033D1-2710.10 LAND RECH S S 111550,Z31 1,500,000
0 0 0 0 0 0 MONO 1,500,000
51-01331-2710.30 WI1R RIGHTS& SPPLY
51-OT'111-2710.30 VrAIER alai(H1 H1 S 30,000 33,000
30,COD 0 0 0 0 0 0 30,000
51-01301-2720.20 ThEA€ENP PLANTS
51-(7CF101-2720.20 ENB. ffilSaC C1 RRIC1IQ s-PARLEYS e al 2C0,000
0 0 0 0 0 t :.o 1 0 200,000
51-01301-2720.35 FLNPIN>;PLANTS AND HIP HZUSES _W
51-01401-2720.35 6200 Scum HMD SPATICN I OQOJ 60,000
L'0021 0 0 0 0 0 0 E0,000
51-01301-2730.02 CULVERTS, FTI?ES, AND BRIDGES
51-00101-1/.53.02 REHIIID 03ENT IRRIGATIad EIE ES 30,000 30,000
30,000 0 0 0 0 0 0 30,000
51-01301-2730.04 DEEP HPP HELLS
51-00301-273104 mum LAWN HELL [56.447 50,000
g t04 0 0 0 0 0 0 50,00D
4
MIER UTILITY HID D. 51 G.A.KENYL.L
• TENTATIVE CAPITAL RIY.FT pi-BDC£C
CPTICN#2/RATE IN1ZFASE FQ THE FTSAL YEAR ENDINI JUE 30, 1990 C6/O3/89
PPM2CF5
RESERVE FUR RESERVOIR C NTRIRUIT(NS
CLASP OBJECT CURRENT AND SPPLY LINES IN AID TO RATE RESERVE FUR ES'R TOTAL
CTNIER Rrri DESCRIPTTCN F7IEIIfI,S criy IINIRY CII14f[UJCTICN INCPEASE IIIPROVENENIS LOAN CAPITAL
51-01101-2730.05 alum& SJPPLY LIES
TANNER RESERVOIR CLISlTP 150,000 150,000
150,000 0 0 0 0 0 0 150,000
51-01301-2730.07 DISIBIBJIICN RESERVOIRS
CAKHILLS RESERVOIR&LINE 350,000 350,000
350,000 0 0 0 0 0 0 350,000
51-01'111-2730.03 DISIRIEUTECN MAINS&R)YCRPN1S
PUELIC NLRICS PROTRACT 450AC0, 50,COD
WATER MAIN REPLP IPS(9-FL7+SE)
9C0 NEST-2100 TO 2300 SCUM 140,C00 140,000
2500 SZUTH-800 TO 900 NEST 42,000 42,C00
303 EAST- 1700 TO 2100 SXAH 360,000 360,000
E1YNTPLE ROAD- 1600 TO 210 N.71IH 145,000 145,020
700 NEST- 1300 TO 21C0 32JIH 26,000 236,000
1320 NEST ILLINOIS TO WAD AVE. 48,000 48,020
CATHERINE sr.-1000N TO CCCL IIN AVE. 33,000 33,000
BECK STREET-900 TO 1320 NUM 163,000 1E8,O20
CAKE(smog-1220 NORM TO CURNT AVE. 35,000 35,00)
FIRE HYLRPNT REP[ACIIgNIS 30,000 30,000
NEW M IILDIE VALVES 20,00D 20,003
'SEATED LINES €100,020y 100,O30
VARIOUS LINES 25,133 6,300 '2DA00' 52,433
CARRY OVER PROTECTS: ;.....
900 NEST- 2303 ID 2500 37U11I 150.0001 150,000
2500 331H 800 TO 900 NEST , 33s 33,000
EA.41NEM DR. 3680 TO 3750 EAST . 4' 4,000
FI4RR RD&WASP,TCH BEM)TO PERE y 33,000
270U FAST NORA LR TO MILD,NAY '75i000 75,000
1,399,133 6,333 20,000 100,000 0 300,C00 0 1,915,433
5
DATER UTILITY FUND NA. 51 G.A.KFN LL
TINTATIVE CAPITAL HDGET DI-HJIIEP
CITCN#2/RAIE INCREASE FLR THE FIS^AL YEAR ENDING JUDE 3D, 1990 06/03/89
PFGE30F5
RESERVE FLR RESERVOIR QNIRIHTPIC3S
COST C8JKIT CURRENT PND SJPPLY LIDS IN AID TO RUE RESERVE ECR SEAR TOTAL '
(ENTER R7lP CMCRIPrrCN FAFNIS>S CITY OXNIRY CCNS1TOZCICN INREASE I!'1R EMEN1'S CLAN CAPITA[.
WATER SERVICE CCNNECTICNS
51-01701-2730.09 LARGE hETR REPIA(BEN[S 165;500 65,500
51-02201-2730.09 SIRVTO;LINE REP[ACENEITS 22240 �2 0142 500,000
51-02401-2730.09 SMALL NEIER ERDRFM 421;240, 421,200
51-03301-2730.C9 NO4J SERVICE CCNNE TRIIS 14#14 135,000
716,430 0 0 135,000 270,220 0 0 1,121,700
51-013C1-2750.10 PUE DEJIIES&TRUCKS
51-02301-2750.10 2-3/4 ICE 4 X 4 25,000 25,030
51-02301-2750.10 1-1 10N WELDER HA'15F113/4 4X4 12,500 12,500
51-02301-2750.10 3-10-FHE L ELMS 193,000 198,000
51-02301-2150.10 2-1'MN V&H 84,000 84,000
51-02301-2750.10 2-1 7CDJ ELMS 30,000 30,000
349,500 0 0 0 0 0 0 349,500
51-01 W-2750.3D FIE D PAINT EQUI Ear-PIITTVE
51-02301-2750.30 1-MCKI v 50,500 50,500
50,500 0 0 0 0 0 0 50,500
5 1-01 3 01-2 7 60.10 PITIND PLUS EQUIPMENT
51-03401-27E0.10 2- SOLID 3I PA7 ERSQ A/C MJ1CR(IIINCYLERS 2,000 2,000
51-00401-2760.10 1-2 0HP AD7 FIlE2 DRIVE NDICR Q.NBt LE R 18,OOD 18,000
51-00401-27E0.10 1- 2J0HP SLID STATE RFUXFD VOLTAM NDTCR STPRISR 6,00) 6,000
52,000 0 0 0 0 0 0 52,000
6
WATER OPILIlY FIND D. 51 G.A. SZA L
TENTATIVE CAPITAL EEDCEP DI-IIDOE'
CPTILN#2/RATE ECREASE FCR THE FT3 L YEAR ENDING JUE 30, 1990 05/01/89
RUE 4 CF 5
RESERVE FCR RFS4NOIR COWRIE/ISM
Q.OSP CEDE= CURRENT AND SUPPLY LINES IN AID TO RAIIE RESERVE FOR SENOR MEAL
L
CEVIER COW DESCRIPTION] EARNINGS CITY cw 1E?C CCUSTRIETICN IN2REASE DEROVEMEN2S LOAN CAPITAL
51-01301-2760.20 TREATMENT PLANT EIIJIPtENT
51-CC801-2760.20 FARLEY.'S(FDILR REPAIR) 5,000 5,000
51-00801-2760.2O PARLEY'S(EEATIIm S 8 EM TA ATS) 1,003 1,000
51-0D01-27E0.20 1-PH bEIER 1,800 1,800
51-M901-27E0.20 8-FILTER 023SCLES&VALVCPERATDO 07NTRLS 40,000 40,000
47,800 0 0 0 0 0 0 47,800
51-0M-27E0.3D TELE E1W B2JIP[ NT 51-01501-2760.30'IES1Tffi1IIC .'/P j 15,000
kaa 0 0 0 0 0 0 15,003
51-01301-2760.50 OFFICE FUFNMRE& LGUIPKNT
51-01301-2760.50 1-PER 4L cum N/ASSY 7,000 7,000
51-02210-27E0.50 1-PER43VAL.03NPUTrpS WASSE 7,000 7,000
51-02701-2760.50 1-LAZER PRIMER 5AO0 5,000
51-02301-2760.50 1-CASH REGISTER-MICRO 0 U1ER&PRINTER 7,4C0 7,400
51-02901-27E0.50 1-PERSONAL COMPUTERS Fy/ASSC 7,000 7,000
51-03201-2760.50 2-SOFAS(ETR ERE4LC ROW) 1,039 1,089
34,499 0 0 0 0 0 0 34,439
7
WATER UPILP1Y FUND N0. 51 G.A.KEN LL,
TENTATIVE CAPITAL BU:GET D1-HDEET
OPTION#2/RATE INCREASE FOR THE FPrrAF YEAR QDIN3 JCIE 30, 1990 05/03/89
PACE 5 CR 5
RESERVE FOR RESERVOIR QIVIRIHIPIQSS
COST OBJECT QIRRIINP AND SPPLY LIES IN AID TO RATE RESERVE FCR SEWER TOTAL
CENTER RY1R DF53RIPIiCN EIRIEN3S CITY CCCNIRY 031SIR)CTTCN DERFA,E IPPRJ✓I NIS LCBN CAPITAL
51-01301-2760.90 OTHER NON-MOTIVE Q01IPNENP V W-
51-C101-2760.90 1- 1R13 54(BRSH CTI R-H13:WARNA#39R-3 34500 FOS) 550 550
51-0)101-2760.90 1- EFd.U41 CLIPPER 18,0O0 1B4OO0
51-00101-2760.90 1-EDE CIMP 2 FIT CN E(CVISR TO LET TREE MPS FI L H127N 2,950 2,950
51-CO101-2760.90 2- PR)IMF,M.'S 2,935 2,935
51-00101-2760.90 1- 12,000 LB. WARN H& HFPER KIT 1,075 1,075
51-00101-2760.90 1-3,000 BYU FCRTABLE HEATER GZAI 3E 393 1,255 1,255
51-00301-2760.90 1-ElBaRIC VALVE ACIUAICR 12 INCH 1,700 1,700
51-00E01-2750.90 1- 12,000 LB.WARN KNOB&ar4?R KIT 1,CO0 1,CO0
51-00901-2750.90 1-ELEOLRIC VALVE CPERA9 R 36 INCH 9,000 9,000
51-01301-2760.90 1-WINIW AIR CCSDITIDER(D.ANJER.SrN OFFICE) 1,000 1,000
51-01401-2760.90 1-AIR MASK I/ASSY 1,605 1,605
51-01401-2760.90 1-HELIELEX M1/22tETTC UA1CR 725 725
51-01601-2) ).90 2-PETAL DELFCICRS 1,400 1,400
51-01701-2760.90 7- CASE DECEL S 2 VIPERS 11,865 11,865
51-01701-27E0.90 2-MICROIIEKIII 220 LCKPECRS 990 990
51-01701-2760.90 5-filEZZIE EE;1503 GDERATORS 3,3C0 3,300
51-01701-27E0.90 2-TAR3EC CUT CEF SAWS 1,32) 1,32)
51-01701-27E0.90 1-H-500 B PAVER(BASIC) 11,500 11,500
51-02101-27E0.90 3-tEPAL SUCRACE CABINETS 2,100 2,100
51-02201-2760.90 1-(I3'RIN)MUTER SA4 DE WALT 1701 Q I1T1'ER 525 525
51-02201-2760.90 1-METAL OTITTN3 HID SAM MODES.#S-20 12 IIVOE 7,500 7,500
51-02201-2760.90 1-TWIST TRILL GRINDER MEEL EN 1/8 TO 2 1/2 Err SITE 2,7(0 2,700
51-02401-27E0.90 1-WATER METER TEST BENQ-E 1 1/2&2 INCH 6,500 6,500
51-02401-27E0.90 1-WATER METER iiWT B1NOE 5/8& 3/4 IN31 5,500 5,500
51-02401-2760.90 1-OVERHEAD CRANE(EtECIRIC WIRE ROE CRANE) 1,7C0 1,700
51-02501-27E0.90 2-EIZIIRICAL 1rs1'II181R ENIS 1,200 1,20)
51-03201-27E0.90 1-(2CPN13DFDER 1,500 1,500
51-03M1-2750.90 1-25 INCH TELEVISION ?CO 700
102,095 0 r- 0 0 0 0 0 102,095
TOTAL CAPITAL 3,426,997 6,303 20,000 235,000 270,220 533,000 1,530,0G0 5,958,517
8
ITEMS HIGHLIGHTED CANNOT BE REDUCED DUE TO CONTRACTUAL OBLIGATIONS. ATTACHMENT C
SEWER UTILITY FUND 02-17-89
CAPITAL REQUEST SUMMARY PAGE 1 OF 6
FOR FISCAL YEAR 1989-1990
201 TOTAL
COST OBJECT CURRENT RESERVE FOR 1981 IMPLEMENTATION CAPITAL
CENTER CODE DESCRIPTION EARNINGS IMPROVEMENTS RATE INCREASE RATE INCREASE BUDGET
BUILDINGS
52-11701 2720 ADMINISTRATION BLDG. ADDITION $500,000 $500,000
$0 $500,000 $0 $0 $500,000
LIFT STATIONS
52-10101 2720.05 BILLY MITCHELL STATION UPGRADE $50r900 $50,000
52-10101 2720.05 PIONEER ROAD UPGRADE OOdd' 50,000
52-10101 2720.05 AIRPORT STAT. 4000 W.N.TEMPLE t8','000' 25,000
52-10101 2720.05 BONNEVILLE STAT. UPGRADE V6c0061 20,000
52-10101 2720.05 1805 INDEPENDENCE BLVD. ROSE PARK( CARRY OVER) ,-207000A 20,000
52-10101 2720.05 NORTHWEST QUADRANT LIFT STATION (CARRY OVERY) ,.5'�d'Od0 500,000
52-10101 2720.05 4130 SOUTH & CENTENNIAL PARK (CARRY OVER) '1'TAW). 50,000
52-10101 2720.05 350 NORTH & 4800 WEST (CARRY OVER) '5,07000 50,000
$0 $765,000 $0 $0 $765,000
. 9 •
SEWER UTILITY FUND 02-1i-a9
CAPITAL REQUEST SUMMARY PAGE 2 OF 6
FOR FISCAL YEAR 1989-1990
201 TOTAL
COST OBJECT CURRENT RESERVE FOR 1981 IMPLEMENTATION CAPITAL
CENTER CODE DESCRIPTION EARNINGS IMPROVEMENTS RATE INCREASE RATE INCREASE BUDGET
TREATMENT PLANT
52-11201 2720.30 MODIFICATION CHLORINATION SYS. $5O OOOj $50,000
52-11201 2720.30 SERVICE WATER FILTRATION 10'i00d 10,000
52-11201 2720.30 FREEWAY IRRIGATION DEMO. 1W:6604 125,000
52-11201 2720.30 IMPROV. PRIMARY SCUM REMOVAL abbd' 50,000
52-11201 2720.30 IMPROVEMENTS TO INFLUENT GATE
AT PRETREATMENT PLANT `25i000? 25,000
52-11201 2720.30 REPLACE GRIT SCREW-MAIN PLANT - 00o 25,000
52-11201 2720.30 CORRECT ROOF TIE PROBLEMS
FOR SEISMIC PROTECTION 100 000l 100,000
52-11201 2720.30 EARTHQUAKE LIQUEFATION STUDY 1500001 50,000
52-11201 2720.30 IMPROVEMENT TO PROTECT FACILITY
FROM EARTHQUAKE 50,000 50,000
52-11201 2720.30 PRETREATMENT PLANT FUEL TANK ?00,000; 200,000
MODIFICATIONS 10,000 10,000
52-11201 2720.30 FUEL SYSTEM CONTROL FOR ENERGY
RECOVERY SYSTEM - UPGRADE 20,000 20,000
52-11201 2720.30 SLUDGE DRYING BEDS IMPROVEMENTS (20000W 2,000,000
52-11201 2720.30 WETLANDS ENHANCEMENT 300,000 300,000
52-11201 2720.30 EXPANDING SLUDGE MANAGE. PROGRAM 10,000 10,000
52-11201 2720.30 ODOR CONTROL FOR SLUDGE THICKENERS 4,000 96,000 100,000
52-11201 2720.30 DIGESTER MODIFICATIONS 10,000 10,000
52-11201 2720.30 SITE CURBING 15,000 15,000
52-11201 2720.30 EMERGENCY BYPASS PUMPING 200,000 200,000
52-11201 2720.30 RAG DEWATERING PRETREAT. PLANT 30,000 30,000
52-11201 2720.30 ENGINEERING FOR SLUDGE BEDS (CARRY OVER) (120,0W 120,000
52-11201 2720.30 ENGINEERING FOR MAINT. BLDG. (CARRY OVER) V30,OOd 30,000
52-11201 2720.30 REHAB MAINT. STOREHOUSE AND
ADDITION TO LABORATORY (CARRY OVER) ;500000 500,000
52-11201 2720.30 SITE CURBING (CARRY OVER ) 0.5y000' 15,000
52-11201 2720.30 DIGESTER VENTILATION (CARRY OVER) t25,bQO 25,000
52-11201 2720.30 COVER GRIT CHANNEL (CARRY OVER) 50j00Q 50,000
52-11201 2720.30 INFLUENT GATE MODIFICATION (CARRY OVER) ?•25,o0Q 25,000
52-11201 2720.30 FIBERGLASS GRATING 15,000 15,000
52-11201 2720.30 FAN HOUSE RADIATOR 10,000 10,000
$0 $2,019,000 $0 $2,151,000 $4,170,000
10
SEWER UTILITY FUND 02-17-89
CAPITAL REQUEST SUMMARY PAGE 3 OF 6
FOR FISCAL YEAR 1989-1990
201 TOTAL
COST OBJECT CURRENT RESERVE FOR 1981 IMPLEMENTATION CAPITAL
CENTER CODE DESCRIPTION EARNINGS IMPROVEMENTS RATE INCREASE RATE INCREASE BUDGET
SEWER COLLECTION LINES
52-10401 2730.14 1100 E 300-400 S. 790 FT 8 INCH LINE 45,000 $45,000
52-10401 2730.14 400 W 225-300 S 650 FT 8 INCH LINE 45,000 45,000
52-10401 2730.14 LAKE ST LOVELAND AVE 1000 FT 8 INCH LINE 55,000 55,000
52-10401 2730.14 MEAD AVE EMERY ST 300 FT 12 INCH LINE 40,000 40,000
52-10401 2730.14 ALLEY 900 S 700-800 W 780 FT 10 INCH LINE 50,000 50,000
52-10401 2730.14 200 W FAYETTE,BROOKLINE WASHINGTON
1300 FT 10 INCH LINE 20,300 59,700 80,000
52-10401 2730.14 ALPINE PLACE,GILMER DR. 350 FT 8 INCH LINE 35,000 35,000
52-10401 2730.14 ALLEY 100 S EUCLID 100-1100 W
800 FT 15 INCH LINE 65,000 65,000
52-10401 2730.14 700 S I-15 700 FT 15 INCH LINE 55,000 55,000
52-10401 2730.14 500 S I-15 600 W 1100 FT 24 INCH LINE 115,000 115,000
52-10401 2730.14 800 S 300-400 W 8900 FT 24 INCH LINE 75,000 75,000
52-10401 2730.14 600 S 800-900 W 800 FT 30 INCH LINE 95,000 95,000
52-10401 2730.14 BALTIC COURT 360 FT 8 INCH LINE 45,000 45,000
52-10401 2730.14 300 WEST (EAST SIDE) 442 TO 500 NORTH (CARRY OVER) t35,000 35,000
52-10401 2730.14 WEST TEMPLE,1080 TO 1180 SOUTH (CARRY OVER) 45000 45,000
52-10401 2730.14 MAIN STREET (EAST SIDE) 200 TO 300 NORTH (CARRY OVER) 45';000' 45,000
52-10401 2730.14 500 NORTH (NO. SIDE) 240 TO 295 WEST (CARRY OVER) 35y00 35,000
52-10401 2730.14 600 WEST, 700 TO 800 SOUTH 24 INCH LINE (CARRY OVER) 60;a00 60,000
52-10401 2730.14 600 SOUTH, 100 WEST TO 1100 WEST 21 INCH LINE (CARRY OVER) h175 0001 75,000
52-10401 2730.14 600 SOUTH, 1100 WEST TO 1170 WEST 21 INCH LINE (CARRY OVER) 50;000 50,000
52-10401 2730.14 EMERY STREET, 700 SOUTH TO 1000 SOUTH 15 INCH LINE (CARRY OVER 75,00q 75,000
52-10401 2730.14 VARIOUS COLL. LINES REPLACEMENTS 200,000 200,000
$0 $1,125,300 $294,700 $0 $1,420,000
11
SEWER UTILITY FUND 02-17-89
CAPITAL REQUEST SUMMARY PAGE 4 OF 6 '
FOR FISCAL YEAR 1989-1990
201 TOTAL
COST OBJECT CURRENT RESERVE FOR 1981 IMPLEMENTATION CAPITAL
CENTER CODE DESCRIPTION EARNINGS IMPROVEMENTS RATE INCREASE RATE INCREASE BUDGET
SEWER TRUNK LINES
52-10401 2730.16 1400 N BECK ST 600 FT 64 INCH LINE 200,000 $200,000
52-10401 2730.16 800 N 1000-1200 W 1600 FT 42 INCH LINE 350,000 350,000
52-10401 2730.16 800-700 S 500 W I-15 2400 FT 24 INCH LINE 225,000 225,000
52-10401 2730.16 4800 W 700-1300 S 4500 FT 24 INCH LINE 500,000 500,000
52-10401 2730.16 NORTHWEST QUADRANT TRUNK LINES 1,000,000 1,000,000
52-10401 2730.16 5600 WEST, 2100 SOUTH EXT 50-1370 (CARRY OVER) ay80O;006 1,800,000
52-10401 2730.16 3500 WEST, 1800 SOUTH TO 5TH SOUTH EXT 50-1371 (CARRY OVER) `IL800,00d 1,800,000
52-10401 2730.16 5TH SOUTH TO PUMP STATION 1,480,000 1,480,000
$0 $5,080,000 $0 $2,275,000 $7,355,000
AUTOMOBILES AND TRUCKS
52-11001 2750.10 (2) TWO TON HIGH PRESSURE TRUCKS $136,000 $136,000
52-11001 2750.10 (2) 3/4 TON PICKUPS 22,000 22,000
$158,000 $0 $0 $0 $158,000
FIELD MAINTENANCE EQUIPMENT
52-11001 2750.30 FRONT END WADER $74,000 $74,000
$74,000 $74,000
12
.
SEWER UTILITY FUND 02-17-89
CAPITAL REQUEST SUMMARY PAGE 5 OF 6
FOR FISCAL YEAR 1989-1990
201 TOTAL
COST OBJECT CURRENT RESERVE FOR 1981 IMPLEMENTATION CAPITAL
CENTER CODE DESCRIPTION EARNINGS IMPROVEMENTS RATE INCREASE RATE INCREASE BUDGET
TREATMENT PLANT EQUIPMENT
52-11201 2760.20 PRIMARY SLUDGE PUMPS REPLACEMENT $19,994 $20,006 $40,000
52-11201 2760.20 REPLACEMENT OF SERV.WATER PUMPS 25,000 25,000
52-11201 2760.20 FLOW MEASURING DEVICE & SEWER INTERCEPTOR SAMPLES 50,000 50,000
52-11201 2760.20 INFLUENT PUMP HOIST (CARRY OVER) 20000" 20,000
52-11201 2760.20 SLUDGE TRANSFER PUMP (CARRY OVER) 20000 20,000
52-11201 2760.20 PARTS FOR INFLUENT PUMPS (CARRY OVER) 250000 125,000
52-11201 2760.20 GATE OPERATORS - CLARIFIERS 10,000 10,000
$0 $175,000 $0 $0 $175,000
TELEMETERING EQUIPMENT
52-10101 2760.30 TELEMETERING EQUIPMENT FOR LIFT STATIONS $202000) $20,000
$20,000 $0 $0 $0 $20,000
OFFICE FURNITURE & EQUIPMENT
52-11100 2760.50 COPY MACHINE $1,500 $1,500
TYPEWRITER 1,000 1,000
MICROCASSETTE RECORDER
AND ADAPTORS (2) 500 500
OFFICE FURNITURE (2 OFFICES) 10,000 10,000
$13,000 $0 $0 $0 $13,000
13
SEWER UTILITY FUND 02-17-89
CAPITAL REQUEST SUMMARY PAGE 6 OF 6
FOR FISCAL YEAR 1989-1990
201 TOTAL
COST OBJECT CURRENT RESERVE FOR 1981 IMPLEMENTATION CAPITAL
CENTER CODE DESCRIPTION EARNINGS IMPROVEMENTS RATE INCREASE RATE INCREASE BUDGET
OTHER MACHINERY AND EQUIPMENT
52-10101 2760.90 GENERATOR UPGRADE LIFT STATION $13,000 $13,000
52-11100 2760.90 IN LINE CONDUCTIVITY & PH METER 2,000 2,000
52-11100 2760.90 WALK-IN INCUBATOR FOR BOD STORAGE 12,000 12,000
52-11100 2760.90 WALL SIZED REFRIDGERATOR 8,000 8,000
52-11100 2760.90 COLIFORM INCUBATOR 1,000 1,000
52-11100 2760.90 ADAPTOR & CAMERA FOR MICROSCOPE 1,000 1,000
52-11100 2760.90 MILL,GRINDER,VENTILATOR SYSTEM
FOR SOILS 8,000 8,000
52-11100 2760.90 AA LAMPS & ULTRASONIC CLEANER 3,000 3,000
52-11100 2760.90 DRYING OVEN FOR SOILS 2,050 2,050
52-11100 2760.90 SAMPLERS 2,488 2,012 4,500
52-11101 2760.90 RADIO & BASE 500 500
52-11101 2760.90 FIRE PROOF DOCUMENT STORAGE 5,000 5,000
52-11101 2760.90 SAFETY EQUIPMENT (NON-SPARKING) 1,500 1,500
52-11101 2760.90 DRYING OVEN 1,000 1,000
52-11101 2760.90 BALANCE,METTLER AE 260 2,500 2,500
52-11101 2760.90 AMPEROUTRIC TITRATOR 1,500 1,500
52-11101 2760.90 CLASS S CERTIFIED WEIGHT 1,500 1,500
52-11101 2760.90 NBS CERTIFIED THERMOMETER 600 600
52-11101 2760.90 CULTURE INCUBATOR 500 500
52-11201 2760.90 POWER CONDITIONERS 9,500 9,500
52-11201 2760.90 PORTABLE PERSONNEL LIFT 12,000 12,000
52-11201 2760.90 CARPENTRY SHOP TOOLS 17,000 17,000
52-11201 2760.90 INSTRUMENTATION EQUIPMENT 4,000 4,000
$52,538 $59,112 $0 $0 $111,650
TOTAL CAPITAL $337,532 $9,818,418 $294,700 $4,426,000 $14,876,650
14
•
ATTACHMENT D
WATER U11LY FUN) U/ 3
(PFIQ4 p2 YN11R RAZE INCREASE CE 2 MI11.I04 CA91 F1AJ
R21 YENS 1935-2073
O4IRI8)IID FINS
PEINED RATE CHARMS FM PE)/ICED 1UrAL (85 4(IEG ECM CAPITAL 01Pr1AL ECN) 10FPL YEARLY INIFRES1 (L93 LATHE
YEARS SG1F.S 1977449;FCR 3SNIO 06YELPE4 87EDE/S914 RE7FNE EQ'8N)rl17E•5 PAYMNr 82JIF14Nr 1149A77ETII•BS 41604175 E4,E4DITU4 10rAL INI7E 10rAL
2 8 2 8 2 8 58 534Y.P1NN 30 3% 62
MINIM)8pANCE 1,530,319
193586* 14,654,196 3,03,573 70,439 856,E3 1,457,26 23,636,636 12,735,756 2,691,714 651,416 2,962,4E9 1,457,26 23,433,560 188,126 843,116 2,567,561
1936-87* 14,747,947 3,126,210 793,353 1,327,067 1,015,526 21,015,103 13,520, 13 2,344,547 533,053 3,203,798 1,015,525 23,682,223 332,875 1,234,673 4,135,103
1967-38* 15,535,506 3,142,812 2,039,437 933,185 1,O'8,665 22,746,605 15,271,136 2,641,165 545,767 3,743,89 1,013,665 23,250,622 -524,018 918,437 4,513,523
1988-83**16,250,000 3,1O,C0 972,00 945,60 1,556,355 22,824,955 15,231,199 2,634,800 1,533886 5,025,534 1,555,355 26,036,774 -3,211,819 655,00 1,942,70
1 90•**17,50,00 3,162AO 972,0) 3)1,37)1,50,00 23,435,30 15,425p33 2,901,230 651,334 3,807,133 1,50,003 24,05,30 -850A0 30,00 1,432,7C9
193091 17,850,00 3,225,240 931,444 235,000 22,301,60 15,887,753 2,895,00 665,000 3,365,332 22,813,055 -511,375 74,221 1,055,555
1931-92 18,227,C0 3,233,745 1,011,260 235,CO 22,743,014 16,364,336 2,895A00 615,40 3,418,224 23,232,610 -543,336 46,845 552,804
1992-93 19,571,140 3,355,540 1,031,434 235,00 23,193,174 16,855,317 2,895,00 765,03) 3,174,033 23,633,355 -436,181 18,23 74,9:5
1693-94 18,942,563 3,422,650 1,52,124 235,00 23,652,337 17,30,977 2,895A00 615A03 3,346,614 24,217,31 -565,253 -12,463 -542,811
1934-95 19,321,414 3,491,1O 1,073,167 235,000 24,123,634 17,881,806 2,895,00 633,450 3,447,012 24,857,263 -736,584 -52,266 -1,291,662
1995-96 19,707,842 3,50,926 1,034,633 235,03 24,933,3E 18A18,20 2,895,00 652,459 3,553,473 25,516,337 -917,733 -105,032 -2,314,433
1996-97 20,101,999 3,632,144 1,116,522 235,0) 25,155,666 18,970,803 2,895,000 672,027 3,655,935 26,194,771 -1,10,105 -172,133 -3,595,677
1997-93 21,504,033 3,701,737 1,133,853 235,00 25,932,679 19,533,932 2,835,03 6)2,189 3,766,641 26,893,764 -1,311,185 -255,073 -5,161,834
1993-93 21,914,121 3,78,883 1,161,633 235,00 26,09,633 21,12,130 2,895,00 712,954 3,873,643 27,613,727 -1,524,034 -355,433 -7,041,361
1933-00 21,332,432 3,854,4E0 1,194,8E3 235,00 26,606,7E 0,723,914 2,835,00 734,342 3,936,032 23,355,233 -1,74,563 -474,93 -9,261,863
00U001 21,7993,050 3,931,550 1,203,50 235,003 27,134,10 21,351,812 2,895,033 756,372 4,115,913 23,119,037 -1,934,937 -615,440 -11,865,240
2J01-002 22,194,231 4,010,181 1,232,731 235,00 27,672,143 21,9)2,366 2,895,03 773,064 4,233,340 23,605,823 -2,233,677 -723,925 -14,877,842
27k 2D3 22,633,116 4,030,334 1,257,336 2350)) 2,22,886 22,652,137 2,895,03 302,436 4,365,572 33,716,145 -2,495,293 -67,523 -18,340,6E
013-0)4 23,0)0,87 4,172,192 1,22,533 235,033 2,7O,604 23,331,231 2,695,0)) 826,5C9 4,437,563 31,550,773 -2,770,175 -1,1113,543 -22,297,3E
2137-336 23,552,696 4,255,636 1,313,184 235,00 29,351,516 2,031,652 2,695,033 851,304 4,632,436 32,410,452 -3A58,937 -1,423A23 -26,782,713
*RD03'YEARS 1955-1938 AI£ACIUAL NE MS QIl21ID
**1988-1939 ARE CIPRENr EMCEED)N•UI4IS 14113 PICPCEYD EUl£r AO]ISMENT FCR 1941 WER ERDIEITS.
.a*1939-90 PR1L9D IIiIE.r
1.CFFPAT=REYINE,RA•1E IICREA ,MD 01913E5 ICR SERVICES APE E5111441ID T)0734 B7 1%TER1 1939-2C6.
2.CP 4511(43 A14)CAPITAL Ef9EDD11LRE5 ARE E497CIED 1U 1N0FA26 at 34 PER YEAR SW 1969-2J05.
3.OF131 33MCE IS ME 7C11A1,1NIENEIr DIPFEEE APD I92IPII1411 PAYP NT F33,7UN D CN 1LE REFUTED 1937 ECNDS.
4.1111134M IS F)CIM51ID BASL)CN 69 CN PRIOR YEARS 5 15860E PAD 3%04 11E YEARLY PEP TOTAL FCR 11E EMCEE WASS 1939-205.
15
ATTACHMENT E
03/0Y83
a-.ie.-i., RNIY.LECRE SE OF'6 6 F R.7 M awn UPILI'Y FuE 01-9-4kr
CA91 FFLW
RE YEARS 1932-2105
D09E11G IA`D RI6i433
61423 EMU' OIFRATIEG 2)1 PATE 02t43CIO4 B34) 58131 MAR GERAT1O6 CAPITAL OF77E 33NI1£ PLANE Nd) 8 EDEIE M34 YEARLY FEP
RAt1E YEN/ NEWER 1N0EAg FDS 00:NE, 0193352E S MAIM' DEP84)EIU+E BIDS M7DLFICATIO4 MAKR 63ER 16 MD KANE 1017,L 11-118E9E CA91 FLOW
18 1% 1% 3% 31 31 LIME QN9'. 321 ESE(O6P 6.0 6
883114163 CA91 BALANCE 2,503,03)
1.03'1992-83 6,793,230 1,463,113 435,830 1,367,161 5,453,495 2,034,1,9 275,995 53,375 2,254,330 4)3,62) 5,193,000
1.CB'1983-84 6,330,025 5,710,43E3 735,632 4,427,733 5,025,332 2,219,144 864,917 718,1E0 8,437,365 665,135 14,2E0,5:0
1.03'1984-85 6,335,433 5,707,845 1,172,951 954,743 4,933,634 2,339,654 854,955 371,83) 5,665,925 1,532,562 21,459,9137 •
.90'1985-86 6,855,864 5,327,882 7E19,145 5,170,357 1,015,831 852,6A 7,723,723 2,655,13) -4,444,82) 1,521,564 18,535,731
.90'1936-87 6,967,925 4,612,113 1,017,653 79I,000 5,3993,602 1,434,626 425,007 5,314,694 84,793 950,000 33,370,50)
.90'197-88 6,9113,73 4,841,745 336,555 5,513,763 1,228,474 1335,922 4,595,723 53,156 1,519,631 18,774,750
.85"1933-89 5,796,000 3,600,OCO 1,302,370 100,OCO 5,757,333 4,093,616 A1,300 4,530,000 50J,OCO -4,809,955 1,674,000 15,633,795
E0"'1999-90 5,796,000 3,100,OID 1,302,30) 107,000 6,107,110 3,376,6% 701,300 4,145,030 7,355,000 -11,596,7E0 1,674,000 5,726,035
.80 1990-91 5,853,963 3,131A37 1,315,323 103,00) 6,290,323 1,8C0,000 E99,587 1,365,000 2,OCO,000 -1,965,627 234,533 4,015,031
130 1991-92 5,912,500 3,162,310 1,323,476 106,030 6,479,033 1,959,000 731,764 1,500,000 -421,601 230,052 3,853,452
60 1992-93 5,971,625 3,193,933 1,341,761 103,273 6,673,434 2,C84,CO) 697,070 1,033,0A -96,42 223,314 3,585,333
.80 1993-94 6,031,341 3,225,872 1,355,179 112,551 6,873,606 1,734,000 697,316 950,OCO 274,919 247,333 4,527,625
60 1994-95 6,031,654 3,259,131 1,363,730 115,927 7,09,814 3,1I0,000 639,941 2,OJ0,030 -2,237,167 201,842 2,422,30)
.80 1935-96 6,152,571 3,290,712 1,332,418 119,405 7,232,39 3,303,330 700,219 -49,432 133,655 2,063,523
60 1996-97 6,214,037 3,323,63) 1,336,242 122,987 7,510,975 3,233,339 1339,035 -636,49 102,857 1,467,891
60 1997-98 6,276,237 3,356,856 1,410,201 118,677 8,322,716 3,338,331 7C0,933 1,505A03 42,911 5,333
60 1993-99 6,333,000 3,390,424 1,424,306 130,477 8,572,347 3,500,332 336,863 2,007,000 -3,636,340 -1C8,767 -3,733,714
60 1939-2020 6,402,330 3,424,393 1,43,543 134,332 8,823,5E0 3325,342 94,404 -1,839,433 -211,036 -5,99,1739
130 330-301 6,4E6,414 3,45,572 1,452,935 133,423 9,034,455 3,713,503 504,401 -2,152,866 -419,137 -8,431,192
.80 3731-2312 6,531,078 3,493,193 1,467,464 142,576 9,367,230 3,824,9C8 935,423 -2,4.33,502 -331,727 -11,431,421
60 2232-3 33 6,596,39 3,523,039 1,432,33 146,853 9,643,303 3,933,655 588,472 -2,716,673 -770,985 -14,97,073
.80 2303-234 6,652,353 3,553,370 1,496,963 151,2.9 9,937,79 4,057,845 938,09 2,003,000 -5,012,258 -1,O1,112 -21,043,443
60 2334-235 6,723,976 3,339,301 1,511,930 155,797 11,235,891 4,179,930 599,079 52,891,124 -57,210,561 -2,978,744 -81,223,754
146353,795 84,983,539 2,376,033 7,540,693 2,115,639 166,533,444 65,194,389 15,073,703 32,434,505 18,510,13) 52,891,124 -85,790,813 5,219,600 -80,561,234
' 131XtT YEARS 11E2 15443 1938 ARE FERAL CA61 AON15 0916L1ED.
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3.f:FRE 33NICE IS DiE PC5RAL INIF71F5E WEN%AD FRAME PAYFEA E43371RED 04 DE REFUNDED 1937 87433.
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SAL ' 4AMNCORPO ° e IOi
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OFFICE 0F1 THE CITY''COUNCIL
SUITE 3OO CITY HALL
324'SOUTH STATE STREET'':',
SALT LAKE;.CIIY.. UTAH 841111_. '
June 7, 1989
MEMORANDUM
TO: COUNCIL MEMBERS
FROM: CINDY GUST-JENSON
RE: BUDGET FOLLOW-UP INFORMATION
We have attached a list which outlines those items that a majority of
the Council voted in favor of on the Tuesday, June 6 straw polls. Also
attached is a new copy of the budget reduction list, the order of which has
been revised based upon those straw polls. We did not attempt to re-
prioritize the items that the Council did not vote in favor of, but we have
provided the entire list again in the event you elect to make further cuts.
One additional reduction item has been added to the list. It is
"Council Salary Correction." This is to correct an oversight. A COLA for
Council Member salaries was inadvertently included in the budget but shouldn't
have been, since the Council Member salary is set by ordinance.
We promised clarification on three figures from the reduction list :
1 . HRM Section 89 Rollback: It was noted on Tuesday that part of the
funding from this (possibly about 25 percent) comes not from the
general fund, but from risk. The Finance staff is working on
determining the exact figure, and we will let you know as soon as we
receive it. For now, we have left the figure at $20,000.
2. Business District Maintenance: The Business District Maintenance
budget has increased $75,033 due largely to a $32, 100 increase in
personal services, a $10,400 increase in Fleet Management charges,
and a $23,500 increase in capital expenditures. After reviewing
this program carefully with the Public Works and Finance staff, we
do not recommend you consider it as a reduction.
3. Employee Appreciation Day: We have confirmed that the cost to the
City for appreciation day includes a $6,000 allotment billed
directly out of Human Resources, and additional costs billed to the
respective departments based upon the number of employees and family
members who attend Raging Waters. Last year the additional cost
amounted to $17,000. The figure of $23,000 we originally used is
apparently correct.
Assuming the Council wishes to fund the neighborhood trash pickup
($277,000) ; the Weed & Demolition fund ($5,000) ; League of Cities dues amount
correction ($10,000) ; and Administrative Services election costs ($30,000--top
be offset by State revenue) the dollar from this list you need to arrive at is
$292,000.
Also attached is a new draft of the Legislative Intents. Based upon our
review of the minutes we added a few on the second page for your
consideration. We are in the process of preparing all of the motions for
Tuesday night 's budget adoption. We will prepare motions for all items on the
'potential reduction list. If you have last-minute motions you would like to
have prepared, please let us know by 11 :00 a.m. on Friday.
DRAFT Initial Staff Recommendations
& Other Potential Budget Reductions
As of June 6, 1989
POTENTIAL CUMULATIVE
PRIORITY PROGRAM SAVINGS SAVINGS
A Finance-Land Rentals $27, 540 $27, 540
A Finance-Employee Parking $2, 610 $30, 150
A Public Works Travel $3, 109 $33, 259
A Admin Svc FTE ' s ( 2. 5 FTE ) $85, 106 $118, 365
A Admin Oth/Chg & Sys $10, 047 $128, 412
A Admin Svc Travel $2, 674 $131, 086
A Admin Svc Auto Allowance $3, 600 $134, 686
A HRM Section 89 Rollback $20, 000 $154, 686
B Internal Auditor-Finance $36, 900 $191, 586
C Fleet Replacement $100, 000 $291, 586
•
DRAFT Initial Staff Recommendations
& Other Potential Budget Reductions
As of June 6, 1989
POTENTIAL CUMULATIVE
PRIORITY PROGRAM SAVINGS SAVINGS •
********************************************************
A Finance-Land Rentals $27, 540 $27, 540
A Finance-Employee Parking $2, 610 $30, 150
A Public Works Travel $3, 109 $33, 259
A Admin Svc FTE 's ( 2 FTE ) $85, 106 $118, 365
A Admin Oth/Chg & Sys $10, 047 $128, 412
A Admin Svc Travel $2, 674 $131, 086
A Admin Svc Auto Allowance $3, 600 $134, 686
A HRM Section 89 Rollback $20, 000 $154, 686
B Internal Auditor-Finance $36, 900 $191, 586
C Fleet Replacement $100, 000 $291, 586
A Council Salary Correction $1, 512 $293, 098
B Urban Forestry $20, 000 $313, 098
B Employee Newspaper $9, 000 $322, 098 .
B Veteran's Cemetery $10, 000 $332, 098
B Chamber Dues Increase $10, 000 $342, 098
B Utah League of Cities $10, 000 $352, 098
B Employee Appreciation Day $23, 000 $375, 098
B Auto Allowance $20, 781 $395, 879
B Business Dist Maint $75, 000 $470, 879
B Finance Travel $2, 224 $473, 103
B Police Travel $6, 200 $479, 303
B Attorney Travel $4, 887 $484, 190
B Retiree Gifts $25, 000 $509, 190
B Eliminate Dispatcher $20, 000 $529, 190
B Sister City $10, 000 $539, 190
B UEDC Reduce Contribution $20, 000 $559, 190
C Eliminate Dispatcher $20, 000 $579, 190
C Parks Recreation Manager $35, 660 $614, 850
C Add Fire Inspector $15, 000 $629, 850
C Burglar Alarm Fees $32, 000 $661, 850
C Fire Dept False Alarm $661, 850
Items related to the Enterprise Fund Study
*********************************************
Eliminate Hydrant Charge $126, 000
Airport Structural Fire $25, 000
Airport Police $43, 600
DRAFT
FISCAL YEAR 1989-90
LEGISLATIVE INTENTS
It is the intent of the City Council that the Administration formalize a
coordinated plan for the joint economic development of the Northwest Quadrant
and the Airport. That plan should define the role of the Airport in the
process.
It is the intent of the City Council that the Administration conduct a vehicle
utilization study to determine if the number of vehicles in each department is
fully justified.
It is the intent of the City Council that the Administration develop a long-
range funding plan to accommodate the extension of California Avenue all the
way to 40th West with the eventual goal of connecting into the West Valley
Highway.
It is the intent of the City Council that the Administration work with the
Sugar House Park Authority to increase the public usage of the park through
promotion of additional outdoor events. It is also the Council 's intent that
maintenance costs be reviewed to ensure that funds budgeted for the Sugar
House Park Authority are used in the most efficient manner.
It is the intent of the City Council that the Parks Department study the
policy of charging sports leagues for maintenance of baseball and soccer
fields, with approval of the Council prior to the implementation of the
policy.
It is the intent of the City Council that the Administration begin
negotiations with Salt Lake County to resolve the questions of reimbursements
for City property owners paying property taxes for Emergency Medical Services
to both the City and County.
It is the intent of the City Council that the Fire Department complete a study
of the feasibility of establishing user fees for Paramedic services.
It is the intent of the City Council that a study be conducted to evaluate the
Fire Department 's consolidated dispatch operations, with funding to come from
the Council 's Auditing Budget.
It is the intent of the City Council that the Administration develop a policy
discouraging the of hiring personnel on a contractual basis beyond a 12 month
period.
It is the intent of the City Council that the Administration review the
ordinance of police false alarm fees and report back to the Council with
proposed solutions.
It is the intent of the City Council that the Administration put out to bid
and CDAC review the Security Lock Program and make a recommendation to the
Council as to the most appropriate organization to administer the program.
DRAFT
It is the intent of the City Council that any slippage from prior year CDBG
projects which becomes available during 1989-90 be applied towards the
Community Development Corporation.
It is the intent of the City Council that funding for SLACC staffing be
allocated but not appropriated until the issues regarding the SLACC
recognition ordinance, new projects, and SLACC staffing are resolved.
It is the intent of the City Council that the Administration report to the
Council on its process of reviewing requests for school crossing guards.
It is the intent of the City Council that the Administration report to the
Council the cost to the City associated with those employee groups who have
opted out of social security.
It is the intent of the City Council that the Administration develop a plan
for funding the Refuse Collection Fund on a self-sustaining basis, for
presentation to the City Council by February 1990.
It is the intent of the City Council that a quarterly report of the status of
the legislative intent statements be provided. •
It is the intent of the City Council that the Administration continue to lay
the foundation for a performance based compensation system and be prepared to
implement such a plan, or pilot program in the 1990-91 fiscal year. It is the
further intent of the Council that the Administration report to the Council
prior to the implementation of such a plan or pilot program.
It is the intent of the City Council that the Administration approach the
School Board about assisting with payment on the construction of 500 South
between 700 and 900 East.
,f
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:t• . -- r _. .N_a
OFFICE OF;THE:tiTY COU NCIL
su ITE Soo CIT`( HALL ,
324 SOU.TH.STATE STREET
SALL LAKE-cFV ;UTAH;84.1 1�
June 8, 1989
MEMORANDUM
TO: COUNCIL MEMBERS /
FROM: CINDY GUST-JENSON(, J
RE: BUDGET FIGURE -- \\I HRM SECTION 89 CONSULTANT
•
We now have more specific information about the general fund dollar
amount for the "HRM Section 89 Rollback" item that was included on the list of
potential reductions. You'll recall the staff indicated you can cut this
because for the time being the federal government has put the benefit testing
requirements on hold.
The total amount budgeted for that consulting was $20,000, but it turns
out that the general fund portion of this item is only $11,200. Attached is a
new reduction list which reflects this change. We will need to identify
$8,800 additional in order fund the programs you have supported in straw
polls.
To do this, you can of course elect to cut additional items from the
list of possible reductions, or you could:
Reduce Urban Forestry by $8,800, rather than the $20,000 on the list
Reduce fleet by an additional $8,800
Reduce the dollar amount limit on retiree gifts from $300 to about $200
Other combinations of "small" reductions from items on the list
Delay hiring the Parks Recreation Manager by two or three months
This is a decision the Council will, of course, have to make in weighing
its priorities. These items are provided only for your information.
SAT"1 r \ )`°e'lJ� 1iP. e�ire �lTKI'1'��1�/MIO, \
OFFI.CE::OFJHE;CITY,;COUNCIL
0 SUITE-3O0„C1TY`PALL ;
.324 SOUTH STATE STREET,''.'‘t
SALT L,AKE-G1-1. ,.0 TA H 4 Till, '
MEMORANDUM
To: Alan Hardman Date: June 8, 1989
From: Cam Caldwell Subject: Neighborhood Trash Pickup
As you had requested, we have contacted a national refuse collection firm to
provide information about alternatives to our current neighborhood trash
pickup program. One option that seems worthy of experimenting with is to
place large refuse containers throughout the community, with the refuse firm
responsible for moving them from location to location and disposing of the
refuse.
This is a proposal which Duane Fuller had proposed during the Public Works
policy meeting. It was not an attractive option at that time. You may
remember that a disadvantage of pursuing this option was that Public Works
would have a large capital outlay which would increase the net cost of the
Refuse Collection Program. That cost was a result of the need to purchase a
proposed 1, 500 containers plus the vehicles required to move them.
The "quote" from the national refuse company was that their firm could deliver
), and collect large forty yard capacity refuse containers at a cost to the City
of about $85 dollars per container, plus a $6 per ton tipping fee. Their
proposal was that 30 of these forty yard containers be moved around from
neighborhood to neighborhood. As part of their proposal, the containers would
be left in a neighborhood from Monday to Monday.
Council may wish to consider experimenting with this option, or a variety of
other options in addition to this, in a couple of selected neighborhoods. The
purpose of such an experiment would be to determine 1) how the alternative
neighborhood trash pickup is perceived, and 2) the difference in service level
and cost compared to the present system. Although I do not recommend that we
make any wholesale changes in our neighborhood trash pickup program for FY 89-
90, the opportunity to experiment in selected neighborhoods may make sense to
you. In addition, it is consistent with Council's ongoing interest in reducing
the budget.
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If this idea is attractive to you, perhaps you may wish to propose the
following Legislative Intent:
"It is the intent of the City Council that the Administration
experiment with alternative methods of providing Neighborhood
Trash Pickup in the neighborhoods over the next year, in an effort
to identify cost-effective options to the current program. "
Please get back to me if you would like me to provide you with additional
information. If you wish, I would be willing to explain the proposal which
has been prepared by the national refuse collection company to the other
members of Council.
cc: Cindy Gust-Jenson
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SUNNYSIDE RECREATION CENTER
ISSUE: FACILITY MANAGEMENT
RECOMMENDATION:
o The pool facility was designed with self-sufficiency as its
operations and management goal .
o The City would create an administrative control board with
seven members, three appointed by the City, two by the
school district and perhaps two from the citizens group.
o This board would determine management of the facility. The
board could choose to use a private contractor or the City
Parks and Recreation Department to manage the facility.
With proper promotion and administration, all parties
involved in the development of the project believe that the
facility can be self supporting.
o The creation of a voluntary assessment district would
generate additional revenues which could be applied to
operations and maintenance costs . This mechanism enables
property owners to voluntarily have a special assessment
levied against their property for the purpose of supporting
the facility. In return, they would receive special
consideration in using the facility.
o While the City would not have a legal responsibility to fund
operating deficits , on a practical level there would be
considerable pressure to provide financial assistance .
ISSUE: INCREASED PROJECTED COSTS :
o Projected costs have escalated from $2 , 100 , 000 to $2, 675 ,000
for the following three reasons :
( 1 ) Architects now estimate the actual construction to be
$2, 455 million rather than $2 . 1 million.
( 2 ) City Engineering believes that the contingency is too
small and should be increased by $150, 000 .
( 3 ) City Engineering costs of $70, 000 were never budgeted
and cannot be absorbed by the Department.
RECOMMENDATION:
o The complex could be constructed for the desired $2 ,300 , 000
cost by doing one, more, or all three of the following:
A. Reduce the scope of project, bidding some items as
alternates which would be awarded as part of the
contract if low construction bids are received or
additional private funds become available.
B. Separately budgeting the $70, 000 City Engineering cost
to administer the construction contract and inspection
of the work. Funds may be taken from CIP contingency
identified for a softball complex by the Parks
Department or the special fund established for capital
improvements in parks .
C. Reducing the contingency to 3%, leaving open the
possibility that more funds may be needed at time of
bid opening if bids and needed construction contingency
exceed the available construction budget .
o Total project funding is a follows :
1 . City $ 700, 000
2 . School District 700, 000
3 . Private 900, 000
TOTAL $2 ;300, 000
ISSUE: DEBT FINANCING STRATEGY
RECOMMENDATION:
o City takes lead, structures lea se revenue obligation for total amount;
Contracts with School District and citizen group for reimbursement of
their portions.
o Financing structured as annual appropriation/lease revenue debt via
Municipal Building authority;
o Contract agreements executed with School District and private nonprofit
to obligate respective commitments;
o School District and private nonprofit agree to share cost of issuance
and interest expense proportionate to their share of debt;
o Terms of the issue fLLxu 5 to 7 years;
o MBA mechanism al ready in place, financing costs can be kept to minimum.
ISSUE: VOLUNTARY ASSESSMENT DISTRICT (VAD) AND/OR MEMBERSHIP SALES:
o Creation of VAD and/or membership sales campaign provides important
backstop to operations and maintenance deficits.
RECOMMENDATION:
o A memberships sales campaign offers ease of implementation, does not
require lengthy and elaborate legal process of creating district;
Market acceptance, easier to sell annual membership than to commit
property to ongoing annual assessment and priority lien.
o Creation of a VAD provides for greater safety in terms of coverage of
future shortfalls; Flexible in the sense that assessments can be
adjusted annually to mcct any operations and maintenance shortfall.
o Successful marketing of either approach will require initiation of
construction to demonstrate tangible benefits; City should pursue both
approaches upon approval of financing and adopt either (or both) if
proven feasible.
ISSUE: SALT LAKE CITY OWNERSHIP
RECOMMENDATION:
o Salt Lake City should own the facility. The ELM can convey the parcel
at no cost to any political subdivision of the State; however, a
private, nonprofit corporation would be required to pay no less than 50%
of the property's fair market value.