Home : Rates : Budget and Five-Year Capital Plan
            
         
     
     
    
        
    
 
                
                    | BUDGET SUMMARY CLAY COUNTY UTILITY AUTHORITY
 BUDGET FOR 2024/2025
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                    |  | Operating Fund | Capital Fund | Self Insurance Fund | Total Fund Budget | 
                
                    | Revenues | 
                
                    | Projected Cash at October 1, 2024 | $2,000,000 | $88,451,262 | $525,000 | $90,976,262 | 
                
                    | Water & Sewer Revenue | $79,163,547 |  |  | $79,163,547 | 
                
                    | Miscellaneous Revenue/Borrowing | $3,992,694 |  |  | $3,992,694 | 
                
                    | Fund Transfers |  | $19,612,489 |  | $19,612,489 | 
                
                    | Total Revenues | $85,156,241 | $108,063,751 | $525,000 | $193,744,992 | 
                
                    | Expenditures
 |  |  |  |  | 
                
                    | Debt Service | $12,864,312 |  |  | $12,864,312 | 
                
                    | Fund Transfers | $19,612,489 |  |  | $19,612,489 | 
                
                    | Operation Expenses | $47,606,309 |  |  | $47,606,309 | 
                
                    | Due In Lieu of Taxes | $3,073,131 |  |  | $3,073,131 | 
                
                    | Capital Projects |  | $66,291,688 |  | $66,291,688 | 
                
                    | Projected Cash at Sept 30, 2025 | $2,000,000 | $41,772,063 | $525,000 | $44,297,063 | 
                
                    | Total Expenditures | $85,156,241 | $108,063,751 | $525,000 | $193,744,992 | 
                
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