Budget and Five-Year Capital Plan

 
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BUDGET SUMMARY
CLAY COUNTY UTILITY AUTHORITY
BUDGET FOR 2024/2025
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