HomeMy WebLinkAboutFY 1995-1996 Revenue ManualEi.
44,
ml oum 44, aw Po M WI uulwNh
l I" r„l '.w 'U �184 vi N� °� . ar ��, xw' r1ifk �„� x I ^I
W'aY l 'Ya ii' pv 4 ��a�r'I t t'i' ar IA '6M C' U „ 'w I,M.Q1%'80 uti 50,0x u
4
PINPRINNONOPAINSPIIIMPINNIPe
IptB "
040494001
lkldd71„
'n!
INTRODUCTION
Forecasting revenue is an important part of fiscal analysis. Knowing what
funds are coming in and in what magnitude is necessary for planning and
decision making. This manual was designed with these items in mind.
The purpose of the manual is to provide historical revenue amounts as well
a five year forecast for each revenue. This information is presented in a
graphical format to illustrate past and projected trends. All revenues in
every fund are not included. The revenues analyzed in this manual were
chosen because of their magnitude, their significance in their fund, or their
special interest to concerned parties.
Included with the graphic analysis of the revenues is the account number,
a fee or rate schedule if applicable and a brief explanation of the forecast
assumptions and methods.
The forecast for FY1996-97 through FY2000-01 are projections based on
historical and current data along with statistical analysis and or subjective
judgments. The projection amounts are not absolute or permanent. These
projections are estimates based on what is known today and the trends
that have occurred in the past. The forecast will change from year to year
as more information is known.
TABLE OF CONTENTS
FUND & TYPE PAGE
General and Debt Service Fund
Ad Valorem Taxes
Current Ad Valorem Taxes 1
Delinquent Ad Valorem Taxes 2
Penalty and Interest 3
General Fund
Sales Tax 4
Other Taxes
Mixed Drink Tax 5
Gas Franchise Tax 6
Telecable Franchise Tax 7
Telephone Franchise Tax 8
Oil and Gas Franchise Tax 9
Permits and Licenses
Mixed Alcoholic Beverage Permit 12
Game Machine License 13
Building Contractor License 14
Electrical License 15
Mechanical License 16
Plumbing License 17
Building Permit 18
Electrical Permit 19
Plumbing Permit 20
Mineral Drilling Permit 21
Child Safety Programs 22
Parks and Recreation Revenues
Adamson Concessions 24
Bee Creek Concessions 25
Central Concessions 26
SW Little League Concessions 27
SW Sr. League Concessions 28
Adamson Pool Revenues 29
Southwood Pool Revenues 30
Thomas Pool Revenues 31
TABLE OF CONTENTS
FUND & TYPE PAGE
Swim Lessons 32
Swim Team 33
Tennis Program 34
Adult Softball 35
Fitness Run 36
Youth Basketball 37
Youth Flag Football 38
Youth Girl's Softball 39
Park Pavilion Rentals 40
Other Service Charge Revenues
Police Reports 42
Arrest Fees 43
Warrant Service Fees 44
False Alarm 45
EMS Transport 46
Street Cut Repairs 47
Municipal Court Administration Fees 48
Court Dismissal Fees 49
Development Services Filing Fees 50
Certificate Searches 51
Municipal Court Revenues
Fines/Penalties 54
General Fund Interest Earnings
Total Interest Earnings 56
General Fund Miscellaneous Revenues
Capital Improvement Assessment 58
Mineral Royalty Interest 59
Misc. Rents and Royalties 60
Collection Services Fees 61
Sale of Cemetery Lots 62
General Fund Return on Investment Transfers
Return on Investment: Electric 64
Return on Investment: Water 65
Return on Investment: Wastewater 66
Return on Investment: Solid Waste 67
TABLE OF CONTENTS
FUND & TYPE PAGE
Hotel Motel Fund Revenues
Hotel/Motel Tax 70
WPC Concession 71
WPC Revenue 72
Interest 73
Conference Center Rental 74
Electric Fund Revenues
Residential Electric Sales 76
Commercial Electric Sales 77
Security Lights 78
Other Sales 79
Property Rental 80
Forfeiture Discounts/Penalties 81
Connect Fees 82
Interest on Investments 83
Underground Construction 84
Water Fund Revenues
Residential Water Sales 86
Commercial Water Sales 87
Forfeiture of Discounts/Penalties 88
Connect Fees 89
Water Taps 90
Interest on Investments 91
Wastewater Fund Revenues
Wastewater Residential Service 94
Wastewater Commercial Service 95
Forfeiture of Discounts/Penalties 96
Sewer Taps 97
Interest on Investments 98
Solid Waste Collection Fund Revenues
Residential Collection 100
Commercial Collection 101
Forfeiture of Discounts/Penalties 102
Recycling 103
Interest on Investments 104
CITY OF
C°1-/
COLLEGE STATION
TAX
REVENUES
CURRENT AD VALOREM REVENUE
Fund: General (001) and Debt Service (151)
Account Number: XXX-0000-411.10-10
Fee Schedule: $0.4450 per $100 of valuation
$0.2825 (63.48%) goes to the Debt Service Fund
$0.1625 (36.52%) goes to the General Fund
Exemptions: Political entities, churches, and others under statutory
provisions and allowed by the chief appraiser of Brazos County Appraisal
District.
Forecast: Assumptions are that appraised valuation will increase 3%
annually, and there will be new development of $80 million in FY96, $50
million in FY97 and then it will level off at $30 million.. These are
conservative estimates based on analysis of building permits and new
development trends.
Collection rate is 98 %.
Tax rate is $0.4450
10.00
9.00
8.00
7.00
6.00
5.00
4.00
3.00
2.00
1.00
0.00
bra
t2
5.83
-
�
i-
5.34
.
558
4.82
6.10
g'
4.46
5
4.07
2.60
2.61
-
2.86
3.04
3.24
F
04+B
gs�
7
x38
FY89 FY90 FY91 FY92 FY93 FY94 FY95 FY96 FY97 FY98 FY99 FY00 FY01
1
DELINQUENT AD VALOREM
Fund: General (001) and Debt Service(151)
Account Number: XXX-0000-411.10-20
Forecast: Delinquent tax collections will be constant at $45,000 through
FY01.
DEBT SERVICE FUND ® GENERAL FUND
J
2
AD VALOREM PENALTY AND INTEREST
Fund: General (001) and Debt Service (151)
Account Number: XXX-0000-411.10-30
Fee Schedule: 6% in February
7% in March
8% in April
9% in May
10% in June
12% in July
The interest is added to the penalty at a rate of 1 % for each month the
tax is delinquent. After July, the penalty stays at 12% regardless of the
number of months the tax has been delinquent.
Forecast: This revenue is projected remain constant at $33,000 through
FY01.
3
Fund:
Account Number:
SALES TAX
General
001-0000-412.10-00
Fee Schedule: 8.25% tax is collected at the retail level and is
remitted to the state. 1.5% is remitted to the City on a monthly basis.
Exemptions: Those authorized by the Texas Comptroller of Public
Accounts and the City under statutory provisions for governmental
agencies and subdivisions, religious worship, and educational agencies.
Forecast: Sales tax annual revenues since 1985 were normalized to
remove the effect of the rate increase in 1991. These numbers were then
regressed against time to find the equation of a trend line that best fit the
ten years of historical data. Future estimates are points on this line
corresponding to future years.
12.00
10.00
8.00
6.00
4.00
2.00
0.00
t
r
10
8,8
�,
®„
7.1�
7.sc
<--
w�
�_'D
E:TEC3�ar
i.
11tY
3.7
4.0.
FY89 FY9U FY91 FY92 FY93 FY94 FY95 FY96 FY97 FY98 FY99 FY00 FY01
4
Fund:
Account Number:
MIXED DRINK TAX
General
001-0000-413.10-00
Fee Schedule: 14% tax on gross receipts on business that have
liquor consumption on the premises. The City and the County each
receive 10.7143% of the tax on a quarterly basis.
Forecast: The projected revenue is based on time -series regression
analysis. FY97 through FY01 estimates were reduced 3% from the
predicted values based on subjective factors such as the cap on student
enrollment and increased enforcement of alcohol related laws.
FY90 FY91 FY92 FY93 FY94 FY95 FY96 FY97 FY98 FY99 FY00 FY01
5
Fund:
Account Number:
GAS FRANCHISE TAX
General
001-0000-419.10-20
Fee Schedule: 2% of gross receipts received by Lone Star Gas from the
sale of gas to its residential and commercial customers within College
Station city limits, excluding receipts sold to industrial and governmental
users.
Forecast: The projected values are based on a time -series regression of
the historical values.
FY92 FY93 FY94 FY95 FY96 FY97 FY98 FY99 FY00 FY01
6
TELECABLE FRANCHISE TAX
Fund: General
Account Number: 001-0000-419.10-30
Fee Schedule: 4% of gross receipts of TCA Cable.
Forecast: This revenue is projected to increase 2.5% annually. The large
increases in FY94 and FY95 are due to a change in the agreement from
2% of receipts to 4%.
FY89 FY90 FY91 FY92 FY93 FY94 FY95 FY96 FY97 FY98 FY99
7
Fund:
Account Number:
TELEPHONE FRANCHISE TAX
General
001-0000-419.10-40
Fee Schedule: 4.5% of annual gross receipts
Forecast: This revenue is projected to remain constant through the
forecast period based on the historical trend.
FY89 FY90 FY91 FY92
8
OIL AND GAS FRANCHISE TAX
Fund: General
Account Number: 001-0000-419.10-50
Fee: $1.50 / linear foot - franchise fee
$0.35 / linear foot - administrative fee
Forecast: This revenue is projected to be about $190,000 in FY96 due to collection of
past due accounts. Subsequent year values are projected to be constant at $60,000
annually.
9
CITY OF
effo
COLLEGE STATION
CITY OF
‘A
COLLEGE STATION
LICENSE AND PERMIT
REVENUES
MIXED ALCOHOLIC BEVERAGE PERMIT
Fund: General
Account Number: 001-0000-421.10-10
Fee Schedule: Beer retailer off premise $30
Beer retailer on premise $75
Retail on premise late hours $125
Wine and beer retailer $87.50
Wine and beer retailer off premise $30
Mixed beverage $375
Late hours $75
General distributor $150
Caterer $250
Forecast: This revenue is projected to increase 3% annually trough FY01.
6.0_
4.0-
2.0
6.0-
2.0-i-
0.0 .431
;'s6
i..
n
'S
ECj
D
13.6
13.6
11.1
11.34.0
13.2
14.0
14.5&
en..
95,4
S
� a..:
�3.
' n�
,�,.�:
2m
e, sa
•^
&
%'✓ �
—
.mom
9
,.
t �,y
..y
FY99 FY90 FY91 FY92
FV93 FY94 FY95
FY96 FY97 FY96
FY99 FY00 FY01
12
GAME MACHINE LICENSE
Fund: General
Account Number: 001-0000-421.20-10
Fee Schedule: $15 per machine
Forecast: The projection assumes an increase of 20 game machines per
year.
13
BUILDING CONTRACTOR LICENSE
Fund: General
Account Number: 001-0000-421.30-05
Fee Schedule: $54 per year
Forecast: This revenue is projected to remain constant in FY96 and
FY97 and then start increasing again in FY98.
14.0
12.0
10.0
4.0
2.011
0.0
FY89 FY90
FV91
FY92
FY93
FY94 FV95
FY96
FY97
FY98
FY99
FY00 FY01
14
ELECTRICAL LICENSE
Fund: General
Account Number: 001-0000-421.30-10
Fee Schedule: $50 for master electrician per year
Forecast: Electrical license revenue will remain constant in FY96 and
FY97 and then start increasing in FY98.
15
MECHANICAL LICENSE
Fund: General
Account Number: 001-0000-421.30-50
Fee Schedule: $54 per year
Forecast: This revenue increased significantly in FY95 due to several
large construction projects. The FY96 amount is projected to decrease but
still remain relatively strong as large projects continue. The amounts in the
remainder of the forecast are projected at a level more consistent with prior
year amounts.
20.°T
18.0
16.0-4-
14.0_
12.0
10.04-
8.0�
6.0
4.0�
2.0�
2.82.7
3.4
19.2
PROJECTED >
7f
0 0 i
FY89 FY90 FY91 FY92 FY93 FY94 FY95 FY96 FY97 FY98 FY99 FY00
FY01
16
PLUMBING LICENSE
Fund: General
Account Number: 001-0000-421.30-60
Fee Schedule: $54 per year
Forecast: This revenue increased significantly in FY95 due to several
large construction projects. The FY96 amount is projected to decrease but
still remain relatively strong as large projects continue. The amounts in the
remainder of the forecast are projected at a level more consistent with prior
year amounts.
18.0-/
16.0
14.01
12.0
i o 10.0
a
�
o x 8.0
6.0
4.0
2.0
0.0
FV89
FY90
FY91
FY92
FY93
FY94
FY95
FY96
FY97
FY98
FY99
FY00
r
FY01
17
BUILDING PERMITS
Fund: General
Account Number: 001-0000-422.10-10
Fee Schedule: For one and two family residential construction, the
valuation of structure and site improvements is
calculated at $40 times the heated floor area and
$20 times the unheated floor area.
Valuation Fee
$O to $1,000 $15
$1,001 to $50,000 $15 for the first $1,000 plus $5 for
each additional thousand including
$50,000
$50,001 to $100,000 $260 for the first $50,000 plus $4 for
each additional thousand including
$100,000
$100,001 to $500,000 $460 for the first $100,000 plus $3 for
each additional thousand including
$500,000
$500,001 and up $1,660 for the first $500,000 plus $2
for each additional thousand
Forecast: Projections are based on the assumption that construction will
gradually decrease to a constant sustainable level slightly higher than in the
years prior to the high growth in FY92 -FY95.
FY95 FY96 FY97
18
Fund:
Account Number:
ELECTRICAL PERMITS
General
001-0000-422.10-20
Fee Schedule: Repair and Alteration Electrical Permit --$20
Residential Electrical Permit --$30 minimum, up to 2,000
sq. ft plus .01 cent per sq. ft over 2,000 sq. ft.
Commercial Electrical Permit -- $30 minimum, up to and
including 2,000 sq. ft plus .01 cent per sq. ft over 2,000
sq. ft.
Re -inspection -- $15
Forecast: The projected revenue is based on regression analysis with
building permit revenue and forecasted values of that revenue.
19
PLUMBING PERMIT
Fund: General
Account Number: 001-0000-422.10-30
Fee Schedule: Issuing fee for each permit -- $10
New Heating & A/C Base fee -- $10
Up to $1,000 Valuation
Each additional $1,000 Valuation -- $2, or a fraction
thereof
Heating & A/C Repairs to Existing -- $5
Systems base fee up to $1,000
Each additional $1,000 Valuation -- $2, or a fraction
thereof
Temporary Operation Inspection fee -- $5
Re -inspection fee -- $15
Water Closet, Water Heaters, Lavatories, Kitchen Sinks,
Bar/Shop Sinks, bathtubs, Showers, Drinking Fountains,
Urinals, Independent Waste, Sand Traps, Grease
Traps, Laundry Tray, Floor Drains, eater(vented), and
Washing Machine -- $2.50 each
Water Service or Replacement and Sewer Collection or
Replacement - $5 Septic Tank -- $20
Forecast: The methodology and assumptions are the same as
those for electric permit revenue.
FV89
FY90
FY91
FV92
FY93
FY94
30 7
of
< �sr�a�r
Plt fry
fl
PRt
J"I',
ECT
-
�.—•
-ra
y,:
FY95 FY98 FV97 FV98
FV99 FY00 FY01
1
20
MINERAL DRILLING PERMIT
Fund: General
Account Number: 001-0000-421.40-10
Fee Schedule: Issuing fee for each permit -- $2,000
Annual renewal -- $200
Forecast: In FY96 permits will be issued for 13 existing but unpermitted
wells, and 4 new wells will be permitted. In FY97- FY01
2 wells will be permitted each year.
21
Fund:
Account Number:
CHILD SAFETY PROGRAMS
General
001-0000-421.50-10
Fee Schedule: $1.50 per vehicle per year is remitted to the tax
assessor. This amount is divided among the cities and Brazos county
based on population. 43.04% is remitted to College Station on a weekly
basis.
Forecast: Taxable vehicles are expected to increase 2% annually.
22
CITY OF
(SA
COLLEGE STATION
PARKS AND RECREATION
REVENUES
ADAMSON CONCESSIONS
Fund: General
Account Number: 001-0000-441.10-10
Fee Schedule: Drinks $.50 to $1.25
Candy $.25 to $.75
Food Items $.50 to $1.50
Forecast: This revenue is projected to remain constant throughout the
forecast period.
24
BEE CREEK CONCESSIONS
Fund: General
Account Number: 001-0000-441.10-20
Fee Schedule: Same as Adamson Concessions
Forecast: Held constant throughout forecast period
25
CENTRAL CONCESSIONS
Fund: General
Account Number: 001-0000-441.10-30
Fee Schedule: Same as Adamson Concessions
Forecast: Held constant throughout forecast period
FY92 FY93 FY94 FY95 FY96
SW LITTLE LEAGUE CONCESSIONS
Fund: General
Account Number: 001-0000-441.10-50
Fee Schedule: Same as Adamson Concessions
Forecast: Held constant throughout forecast period.
SW SR. LEAGUE CONCESSIONS
Fund: General
Account Number: 001-0000-441.10-55
Fee Schedule: Same as Adamson Concessions
Forecast: Held constant through forecast period
FY91 FV92 FV93 FY94 FV95
Fund:
Account Number:
ADAMSON POOL REVENUES
General
001-0000-441.20-10
Fee Schedule: Single entry fee -- $3.00
Discount Pass: $60
Individual Pass: $80
Family Pass (Family of Four, each additional
member $5): $200
Pool Party Rental: $50 party rental ($50 minimum)
$1 per person over 40 people for 2 hours.
Exemptions: Children under three are not charged a fee. City
employees and their families (household) have free use of the pools during
public hours.
Forecast: This revenue will increase 10% in FY96 due to a 50 cent fee
increase. FY97 - FY00 revenue will increase 2% annually.
29
SOUTHWOOD POOL REVENUES
Fund: General
Account Number: 001-0000-441.20-60
Fee Schedule: Single entry fee -- $1.50
Discount Pass: $30
Individual Pass: $60
Family Pass (Family of Four, each additional
member $5): $125
Exemptions: Same as Adamson Pool
Forecast: This revenue will increase 10% in FY96 due to a 50 cent fee
increase.
30
THOMAS POOL REVENUES
Fund: General
Account Number: 001-0000-441.20-70
Fee Schedule: Same as Southwood Pool
Exemptions: Same as Adamson Pool
Forecast: This revenue will increase 10% in FY96 due to a 50 cent fee
increase.
0.0 --
FY89 FY90 FY91 FY92 FY93 FY94 FY95
SWIM LESSONS
Fund: General
Account Number: 001-0000-441.30-20
Fee Schedule: Summer Swim Lessons: $20
Advanced Swim Lessons: $20 for first child, $10 for
the second, $5 for all others
Exemptions: Financial assistance is available for low income
families who have children that would like to participate in one of these
youth activities, but cannot afford the fee.
Forecast: This revenue is expected to increase by 24% in FY96 due to
increased lessons at the CSISD Natatorium and a fee increase from $16 to
$20 for summer lessons. Swim lesson revenue in subsequent years is
expected to increase 2% annually.
70.
60.0
50.0
ZN 0 40.0
o F 30.0
20.0
10.0
0.0
__..
49.9
50.5
�e<
---
AS
47.6
43.1
`-13.8
FY89
FY90 FY91 FY92
FY93 FY94
FY95 FY96 FY97 FV98 FY99 FY00
FY01
32
SWIM TEAM
Fund: General
Account Number: 001-0000-441.30-30
Fee Schedule: TAAF Swim Team: $40 for the first child, $25 for
the second, and $15 for all others
Exemptions: Same as Swim Instruction
Forecast: Swim team revenue is expected to increase by approximately
$1,000 in FY96 due to the opening of the CSISD Natatorium. The revenue
will increase 2% per year in FY97 - FY01.
0.0 r, ..._,_ .... .,,a,,,,,,, mfass Agra
FY89 FY90 FY91 FY92 FY93 FV94
33
TENNIS PROGRAM
Fund: General
Account Number: 001-0000-441.30-80
Fee Schedule: $40 for the first child, $35 for the second, and $30
for all others
Forecast: This revenue is projected to remain constant through FY01.
34
ADULT SOFTBALL
Fund: General
Account Number: 001-0000-441-40-20
Fee Schedule: Play off League(Spring/Summer) -- $260 per team
Play off League(FaII) -- $220
Fast Pitch -- $300, Fall -- $250
Forecast: This revenue will increase by 2% in FY96 due to a fee
increase. The rest of the forecast will remain constant due to capacity
restraints.
35
FITNESS RUN
Fund: General
Account Number: 001-0000-441.40-30
Fee Schedule: $1 per participant
Forecast: Held constant through the forecast period
FY94 FY95 FY96
36
YOUTH BASKETBALL
Fund: General
Account Number: 001-0000-441-40-80
Fee Schedule: 1st child -- $30,
2nd child -- $20,
each additional $10
Forecast: This revenue is projected to increase by 15% in FY 97 due to a
fee increase and then remain constant.
18.0�
16.0
14.0�
6.0s
4.0
2.0
0.0
13:0
FY89
FY90
FY91
FY92
FY93 FY94
FY95
FY96
FY97
FY96
FY99
FY00
FY01
37
YOUTH FLAG FOOTBALL
Fund: General
Account Number: 001-0000-441-40-85
Fee Schedule: 1st child -- $30,
2nd child -- $20,
each additional $10
Forecast: This revenue is projected to increase by 15% in FY 96 due to a
fee increase. Subsequent years are projected to remain constant.
38
YOUTH GIRL'S SOFTBALL
Fund: General
Account Number: 001-0000-441.40-90
Fee Schedule: 1st child -- $30,
2nd child -- $20
each additional $10
Forecast: This revenue is projected to increase by 15% in FY 96 due to a
fee increase. Subsequent years are projected to remain constant.
39
PARK PAVILION RENTALS
Fund: General
Account Number: 001-0000-472-10-50
Fee Schedule: Bee Creek -- $50/day
Central Park -- $50/day Mon.- Thur., $75 Fri., $125
Sat. - Sun.
Oaks -- $30/day
Southwood -- same as Central Park
Forecast: Park pavilion rental revenue is expected to increase by about
4.5% in FY96 due to a fee increase at Bee Creek Park. Subsequent years
are projected to increase by $250 per year.
40
CITY OF
(SA
COLLEGE STATION
OTHER SERVICE CHARGE
REVENUES
POLICE REPORTS
Fund: General
Account Number: 001-0000-442.60-20
Fee Schedule: $2 per report
Forecast: This revenue is projected to stay at $7,000 through FY01.
FY99 FY90 FY91 FY92
42
ARREST FEES
Fund: General
Account Number: 001-0000-442.80-10
Fee Schedule: $5 per notice of violation
Forecast Arrest fees are projected to increase 2% annually through
FY01.
43
WARRANT SERVICE FEES
Fund: General
Account Number: 001-0000-442.80-19
Fee Schedule: $35 per warrant
Forecast: This revenue is projected to increase 3% annually.
FALSE ALARM
Fund: General
Account Number: 001-0000-442.80-40
Fee Schedule: $50
Forecast: This revenue is projected to remain constant through FY01.
FY92 FY93 FY94 FY95
45
EMS TRANSPORT
Fund: General
Account Number: 001-0000-443.10-10
Fee Schedule: $250
Forecast: EMS charges are expected to increase by 3% annually through
FY01.
FY99 FY90 FY91 FY92 FY93
46
STREET CUT REPAIRS
Fund: General
Account Number: 001-0000-444.10-40
Fee Schedule: $30 per square yard
Forecast: Held constant through the forecast period
8.0-i
7.0-,
6.0-,
5.0-z
2.0
1.0
0.0
FY89 FY90 FY91 FY92 FY93 FY94
FY95
FY96
FY97
FY93
FY99
FY00
FY01
47
MUNICIPAL COURT ADMIN. FEES
Fund: General
Account Number: 001-0000-445.20-00
Fee Schedule: $10 per DSC (defensive driving) request
Forecast: This revenue is projected to increase 3% annually through
FY01.
48
COURT DISMISSAL FEES
Fund: General
Account Number: 001-000-445-30-00
Fee Schedule: $10 per dismissal
Forecast: Dismissal revenue is projected to remain at $30,000 through
FY01.
49
DEVELOPMENT SERVICES
FILING FEES
Fund: General
Account Number: 001-0000-446-20-10
Fee Schedule: Preliminary Plat -- $10 per plat plus $.25 per lot or
$2 per acre
Final Plat -- $75 plus $50 per sheet beyond one
Rezoning -- $20
Conditional use permit -- $150
in home day care up to 12 children -- $75
Variances -- $75
Forecast: This revenue is projected to remain at $11,000 through FY01.
50
CERTIFICATE SEARCHES
Fund: General
Account Number: 001-0000-448.10-10
Fee Schedule: $9 for each copy of a birth record
$9 for each copy of a death record, $3 for each
additional request
Forecast: Projections are predicted values from a time -series regression
based on historical amounts.
51
CITY OF
6•_'.01
COLLEGE STATION
CITY OF
ce
COLLEGE STATION
MUNICIPAL COURT
FINES
FINES/PENALTIES
Fund: General
Account Number: 001-0000-450-**-**
Fee Schedule: Speeding -- $80 and up
In school zone -- $115 and up
Running stop Tight or sign -- $80
Expired inspection sticker --$65
Expired driver's license -- $85
Parking violations -- $10 - $200
Minor in possession -- $140 (1st offense), $500
(2nd offense)
Failure to appear -- $215
Forecast: Fines and penalties are projected to increase 3% annually
through FY01.
1,200 r
1,000
400
200
536
515
911
1,002
Sf
FY99 FY90 FY91 FY92 FY93 FYM FY95 FY9S FY97 FY98 FV93 FY00
zor
FY01
i
54
CITY OF
COLLEGE STATION
GENERAL FUND
INTEREST EARNINGS
Fund:
Account Number:
TOTAL INTEREST EARNINGS
General
001-0000-471. **-**
Forecast The forecast assumes that the General Fund balance will
remain constant even in the likelihood that expenditures increase. This is
because the balance is currently in excess of the City's financial policy.
The average interest rate on the City's investments and deposits is
assumed to be 5.5% in FY96 and 6% in FY97 - FY01.
56
CITY OF
(_°J/
COLLEGE STATION
GENERAL FUND
MISCELLANEOUS REVENUES
CAPITAL IMPROVEMENT ASSESSMENT
Fund: General
Account Number: 001-000-461-00-00
Forecast: Due to the large variability from year to year, this revenue is
projected to be $20,000 per year throughout the forecast.
Fund:
Account Number:
MINERAL ROYALTY INTEREST
General
001-0000-472-21-00
Forecast: This revenue is from the City's .0186 interest in the Felix K.
Well #1. This revenue is projected to decrease by 25% each year as the
well is depleted.
59
MISC. RENTS AND ROYALTIES
Fund: General
Account Number: 001-0000-472-99-00
Fee Schedule: Dixie Chicken parking -- $1000/mo.
Cafe Excel -- $1,471/mo
Northgate properties -- $1860/mo. (these started in
FY96)
Forecast: This revenue is projected to remain constant through FY01.
This assumes that current agreements will be continued or replaced by
agreements with similar revenue terms.
120.0
100.0
80.0
40.0
20.0
00
102;:
29.7
29.6
29.6
28.6
29.6
FY89 FY90 FY91 FY92
FY93 FY94
26.7
__. a%%
FY95 FY96
FY97
PUJ
FY99
0
FY99 FY00 FY01
60
COLLECTION SERVICE FEES
Fund: General
Account Number: 001-0000-472-20-00
Fee Schedule: Returned checks -- $25
Collection of States portion of fines -- 10%
Collection of sales tax -- .5%
Forecast: This revenue is projected to increase 3% annually through
FY01.
61
SALE OF CEMETERY LOTS
Fund: General
Account Number: 001-0000-489-65-00
Fee Schedule: $200 per lot, 80% -- General Fund
20% -- Cemetery Fund
Forecast: This revenue is expected to remain constant through FY01.
CITY OF
(S_J/
COLLEGE STATION
GENERAL FUND
RETURN ON INVESTMENT
TRANSFERS
RETURN ON INVESTMENT: ELECTRIC
Fund: General
Account Number: 001-0000-491-20-50
Calculation: 4% of gross sales plus 8% of fund equity, not to
exceed 10.5% of operating revenue.
Forecast: This revenue will be held constant at the FY96 level despite lower electric
revenues due to a new purchased power contract. In FY99 electric revenues are projected
to be high enough to return to the schedule stated above.
64
RETURN ON INVESTMENT: WATER
Fund: General
Account Number: 001-0000-491-20-51
Calculation: 4% of gross sales plus 8% of fund equity, not to
exceed 10% of operating revenue.
Forecast: Growth in this revenue is based on increases in water operating revenue of
3% in FY97 and 2% in FY98 through FY01.
65
RETURN ON INVESTMENT: WASTEWATER
Fund: General
Account Number: 001-0000-491-20-52
Calculation: 4% of gross sales plus 8% of fund equity, not to
exceed 10% of operating revenue.
Forecast: Growth in this revenue is based on increases in wastewater operating
revenue of approximately 1 % annually.
700
600
500
400
300
200
100
0
FY89 FY90 FY91 FY92 FY93 FY94 FY95 FY96 FY97 FY98 FY99 FY00 FY01
66
RETURN ON INVESTMENT: SOLID WASTE
Fund: General
Account Number: 001-0000-491-20-53
Calculation: 4% of gross sales plus 8% of fund equity, not to
exceed 5% of operating revenue.
Forecast: The projections are based on 5% of projected revenue from solid waste
collection operations.
67
CITY OF
0"_01
COLLEGE STATION
CITY OF
COLLEGE STATION
HOTEL MOTEL FUND
REVENUES
HOTEL/MOTEL TAX
Fund: Hotel/Motel
Account Number: 121-0000-413.20-00
Fee Schedule: 7% of Hotel/Motel rental rate
Forecast: This revenue is projected to increase 2% in FY96 and FY97.
In FY98 - FY99 the amount is projected to increase 3% annually with the
opening of the Bush Library and Special Events Center.
70
Fund:
Account Number:
WPC CONCESSION
Hotel/Motel
121-0000-472.10-80,81
Forecast: This revenue is projected to increase 2% annually through
FY01.
35.0—'
30.0
z o
ayc¢
oF 15.0—,
10.0—,
0.0_,..�, .�,...,Rx.�
FY89 FY90 FV91 FY92 FY93 FY94
FY95
FY96
FY97
FY98
FY99
FY00
FY01
71
WPC REVENUE
Fund: Hotel/Motel
Account Number: 121-0000-441-50-80
Fee Schedule: Varies by event
Forecast: This revenue is projected to increase 2% annually through
FY01.
72
Fund:
Account Number:
INTEREST
Hotel/Motel
121-0000-471-** **
Forecast: The projections are based on a constant fund balance and an
average interest rate of 5.5% in FY96 and 6% in FY97 - FY01.
73
CONFERENCE CENTER RENTAL
Fund: Hotel/Motel
Account Number: 121-0000-30-00
Fee Schedule: Rates vary according to room size, duration etc.
Non -Commercial groups $5 - $60 per meeting
Commercial groups $17 - $126 per meeting
Forecast: Conference Center rentals decreased significantly in FY95 due
to the loss of a few large customers. This revenue is projected to increase
2% annually. It is not likely to reach the FY94 level in the near future due
to increased alternatives for meeting places such as restaurants and
churches.
74
CITY OF
C°/\/
COLLEGE STATION
ELECTRIC FUND
REVENUES
RESIDENTIAL ELECTRIC SALES
Fund: Electric
Account Number: 211-0000-311.10-10
Fee Schedule: Monthly Service Charge - $7.00
Energy Charge - First 500 kwh - 6.26 cents
All additional kwh May -Oct - 5.55 cents
All additional kwh Nov. - Apr - 4.90 cents
Forecast: This revenue is projected to decrease 8.4% in FY96 due to
lower rates that began Feb. 1, 1996. Subsequent years of the forecast
increase at rates based on historical growth and usage figures.
76
COMMERCIAL ELECTRIC SALES
Fund: Electric.
Account Number: 211-0000-311.10-20
Fee Schedule:. Small(<15kW)-$9.00 plus 7.11 cents/kwh first 1000
kwh, 5.07 cents/kwh over 1000 plus PCA & tax.
Medium(15-300kW)-$25 plus $9.08/KW plus 2.76
cents/kwh plus PCA & tax.
Large(>300kW)-$75 plus $9.08/kW plus 2.76
cents/kwh plus PCA & tax.
Forecast: This revenue is projected to decrease 2% in FY96 due to lower
rates that began Feb. 1, 1996. Subsequent years of the forecast increase
at rates based on historical growth and usage figures.
20.001
18.00
16.00
14.00
12.00
10.00-'
8.00-
6.00-'-'
4.00
2.00-'
0.00
FY89 FY90 FY91
FY92 FY93 FY94
FY96
FY96
FY97
FY98
FY99
FY00
FY01
77
SECURITY LIGHTS
Fund: Electric
Account Number: 211.-0000-311.10-30
Fee Schedule: $7.60 - $10.93 per month plus 39 kilowatt-hours
multiplied by the power cost
Assumptions: This revenue is projected to increase 4% per year.
FV89 FY90 FY91 FY92 FY93 FV94 FY95
78
Fund:
Account Number:
OTHER SALES
Electric
211-0000-311.10-99
Forecast: Other sales are only projected to increase 3% annually.
zo
4
FY89
FY90 FY91 FY92 FY93 FV94
FY96
FY96
FY97
FY96
FY99
FY00
FY01
79
Fund:
Account Number:
PROPERTY RENTAL
Electric
211-0000-319.20-00
Forecast: This revenue is projected to increase .5 % annually through
FY01.
80
FORFEITURE DISCOUNTS/PENALTIES
Fund: Electric
Account Number: 211-0000-319.40-00
Forecast: The projections are based on a trend line that best fits the
historical amounts.
400.0-'
350.0-,
300.0�
250.0
zo
y Z
g
sH
O
150.0-,
100.0r
180.7
50.0
00
FY89
FY90
FY91
FY92
FY93
FV94
FY95
FY96
FY97
FY98
FY99
FY00
FY01
CONNECT FEES
Fund: Electric
Account Number: 211-0000-319.60-00
Fee Schedule: Residential - $15
Commercial - $35
Forecast: Electrical connect fees are projected to decrease by
approximately $25,000 in FY96 and FY97, as building activity slows, and
then level out at $150,000 through FY01.
300.0-'
250.0-
200.0
100.0
50.0
0.0
r
70.7
43.0
40:8
241.
264.E
242.
01.4
RlJE
FY89 FY90 FY91 FY92 FY93 FY94 FV95 FY96 FY97 FY96 FY99 FY00
FY01
82
Fund:
Account Number:
INTEREST ON INVESTMENTS
Electric
211-0000-321.10-00
Forecast: Electric fund interest is projected to remain constant throughout
the forecast.
700.0
600.0
500.0
= 0 400.0
z
�a
o F 300.0
200.0
100.0-r
0.0
FY89 FY90 FY91
FY92 FY93
FY94
FY96
FY96
FY97
FY98
FY99
FY00
FY01
83
Fund:
Account Number:
UNDERGROUND CONSTRUCTION
Electric
211-0000-323.10-00
Forecast: This revenue is projected to remain constant.
FY89 FY90
FY91 FY92 FY93 FY94 FY95
FY98
FY97
FY98
FY99
FY00
FY01
84
CITY OF
c--f
COLLEGE STATION
WATER FUND
REVENUES
RESIDENTIAL WATER SALES
Fund: Water
Account Number: 212-0000-311.20-10
Rate Schedule: $8.30 - Monthly service charge, plus $2.03 per
thousand gallons of water.
Forecast: The forecast is based on assumptions of 2.25% annual
customer growth and 1% annual usage growth. The large decrease in
FY94 is due to a change in the way apartment complexes are classified. In
FY94 these customers were reclassified as commercial customers.
FY89 FY90 FY91 FY92 FY93 FY94 FY95 FY96 FY97 FY98 FY99 FY00 FY01
86
COMMERCIAL WATER SALES
Fund: Water
Account Number: 212-0000-311.20-20
Rate Schedule: $12.40 to $140 Monthly service charge depending
on meter size, plus $2.03 per thousand gallons of
water.
Forecast: The projections are based on assumptions of 2% annual
customer growth and 1 % annual usage growth.
FY89 FY90 FY91 FY92 FY93 FY94 FY95 FY96 FY97 FY98 FY99 FY00 FY01
87
FORFEITURE OF DISCOUNTS / PENALTIES
Fund: Water
Account Number: 212-0000-319.40-00
Fee Schedule: 10% of billing for past due payments
Forecast: This revenue is projected to increase 1 % annually.
0.0
FY99 FY90 FY91
FY92 FY93 FY94
88
CONNECT FEES
Fund: Water
Account Number: 212-0000-319.60-00
Fee Schedule: Residential - $10
Commercial - $15
Forecast: This revenue is projected to gradually decrease in FY96 and
FY97 and then remain constant at $25,000.
89
WATER TAPS
Fund: Water
Account Number: 212-0000-319.80-00
Fee Schedule: 3/4 " - $400
1 " - $500
11/2"-$800
2" - $1300
3" - $1500
4" - $2,000
6" and larger - Actual cost
Forecast: This revenue is projected to gradually decrease due to reduced
new development and then level off at $150,000.
90
Fund:
Account Number:
INTEREST ON INVESTMENTS
Water
212-0000-321.10-00
Forecast: Interest revenue is projected to remain constant through FY00.
60.0
40.0
20.0
0.0
-20.0
-40.0
-60.0-
-80.0
-100.0-
-120.0
FY89 FY90 FY91 FY92 FY93 FY94 FY96 FV96 FY97
FY98 FY99 FY00 FY01
91
CITY OF
kW)
COLLEGE STATION
CITY OF
‘1
COLLEGE STATION
WASTEWATER FUND
REVENUES
WASTEWATER RESIDENTIAL SERVICE
Fund: Wastewater
Account Number: 213-0000-311.30-10,20
Fee Schedule: Residential: $19.50 per household
Forecast: Residential revenue is projected to increase 1% annually.
FY89 FY90 FY91 FY92 FY93 FY94 FY95 FY96 FY97 FY98 FY99 FY00 FY01
94
WASTEWATER COMMERCIAL SERVICE
Fund: Wastewater
Account Number: 213-0000-311.30-20
Rate Schedule: Commercial: $6.85 - Monthly service charge plus
$2.30 per thousand gallons of water.
Forecast: This revenue is projected to increase 1% annually.
1000
900 -/
800-/
700
600 -/
500 J
400
300
200
100-
FY89 FY90 FY91 FY92 FY93 FY94 FY95 FY96 FY97 FY98 FY99 FY00 FY01
95
FORFEITURE OF DISCOUNTS / PENALTIES
Fund: Sewer
Account Number: 213-0000-319.40-00
Fee Schedule: 10% of billing for past due payments
Forecast: This revenue is projected to increase 3% annually.
FY89 FY90 FY91 FY92 FY93 FY94 FY95 FY96 FY97 FY98 FY99 FY00 FY01
96
SEWER TAPS
Fund: Sewer
Account Number: 213-0000-319.70-00
Fee Schedule: 4" - $350
6" and larger - $100
Forecast: This revenue is projected to decline gradually in FY96 and
FY97 and then level off at $60,000.
160.0-
140.0
120.0 -
100.0-
80.0-
60.0-
40.0
0.0
FY89
FY90 FY91 FY92 FY93
FY94
FY95
FY96
FY97
FY98
FY99
FY00
FY01
97
Fund:
Account Number:
INTEREST ON INVESTMENTS
Wastewater
213-0000-321.10-00
Forecast: Interest revenue in this fund is projected to remain constant.
98
CITY OF
COLLEGE STATION
SOLID WASTE COLLECTION FUND
REVENUES
RESIDENTIAL COLLECTION
Fund: Solid Waste
Account Number: 214-0000-311.40-10
Fee Schedule: $11.20 per month
Forecast: This revenue will increase 7% in FY96 because of the rate
increase that took effect in late FY95. Subsequent years are expected to
increase 2% annually due to customer growth.
2,500
2,000
1,500
1,000
500
FY89
FY90
FV91
FY92
FY93
FY94
FY95
FY96
FY97
FY98
FY99
FY00
FY01
100
COMMERCIAL COLLECTION
Fund: Solid Waste
Account Number: 214-0000-311.40-10,20
Fee Schedule: Automated Pickup 90 gal. - $48.40
4 cubic yd dumpster - $140 per mo. collections/wk
$195 per mo. 3 collections/wk
$210 per mo. 4 collections/wk
$245 per mo. 5 collections/wk.
$280 per mo. 6 collections/wk.
8 cubic yd dumpster - $180 per mo .2 collections/wk
$230 per mo. 3 collections/wk
$280 per mo. 4 collections/wk
$330 per mo. 5 collections/wk.
$380 per mo. 6 collections/wk.
Tax 8.25%
Forecast: Commercial revenue is projected to increase 3% in FY96 and
2% annually thereafter.
1,600
1,400
1,200
1,000
800
600
400
200
FY89 FY90
FY91
FY92
FY93 FY94
FY95
FY96
FY97
FY98
FY99
FY00
FY01
101
FORFEITURE OF DISCOUNTS / PENALTIES
Fund: Solid Waste
Account Number: 214-0000-319.40-00
Fee Schedule: 10% of past due amount
Forecast: This revenue is projected to increase 3% annually throughout
the forecast.
40.0
35.0
30.0
25.0
20.0
15.0
10.0-
5.0-'
RECYCLING
Fund: Solid Waste
Account Number: 214-0000-319.65-00
Fee Schedule: Rates depend on the market value for each of the
products.
Forecast: This revenue is projected to increase 2% annually. Market
rates for the recyclables vary considerably. The assumptions in this
forecast are that overall market rates will remain constant and volume will
increase by 2% due to growth and increased participation.
103
Fund:
Account Number:
INTEREST ON INVESTMENTS
Solid Waste
214-0000-321.10-00
Forecast: Interest revenue is projected to remain constant based on
assumptions of a constant fund balance and interest rates.
FY89 FY90 FY91 FY82 FY83 FY84
FY95
FYB6
FY97 FY88
FY99
FY00
FY01
104