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Table 81 shows the proposed sewer pro forma for the study period with the recommended revenue <br />adjustments per year. All revenue adjustments will occur in January of the Fiscal Year. <br />Table 81. Proposed Financial Pro Forma for City of Santa Ana Sewer System, FY 2026 to FY 2031 <br />Rate Increase <br />------------------------------------ <br />Rate Month Implemented ___ <br />------------------------------------------------------------------------------------------------------------------- <br />13.5% <br />1-May----------------- <br />FY 2026 <br />0.0% <br />1_Jul_ -dw ----1-Jul <br />FY 2027 <br />13.5% <br />FY 2028 <br />10.0% <br />1-Jul <br />FY 2029 <br />10.0% <br />1-Jul <br />FY 2030 <br />10.0% <br />1_Jul___ <br />FY 2031 <br />Cash Position Opening Balance <br />$ 18,318,613 <br />$ 15,347,265 <br />$ 12,137,291 <br />$ 9,927,253 <br />$ 8,518,164 <br />$ 8,014,814 <br />Revenues <br />Sewer Rate Revenue <br />$ <br />8,922,314 <br />$ 8,939,774 <br />$ 8,951,412 <br />$ 8,969,036 <br />$ 8,986,813 <br />$ 8,999,084 <br />Adjusted Sewer Rate Revenue <br />$ <br />200,752 <br />$ 1,206,869 <br />$ 2,580,021 <br />$ 3,740,514 <br />$ 5,021,402 <br />$ 6,430,993 <br />Other Operating Revenue_ _ _ _ _ _ _ _ _ _ <br />Non -Operating Revenue <br />$ <br />$ <br />450,000 <br />400,000 <br />$ 450,000 <br />$ 400,000 <br />$ 450,000 <br />$ 400,000 <br />$ 450,000 <br />$ 400,000 <br />$ 450,000 <br />$ 400,000 <br />$ 450,000 <br />$ 400,000 <br />----------- <br />Investment Revenue <br />Property Tax Revenue <br />$ <br />- <br />$ - <br />$ - <br />$ - <br />$ - <br />$ - <br />Total Revenues <br />$ <br />9,973,066 <br />$ 10,996,643 <br />$ 12,381,432 <br />$ 13,559,550 <br />$ 14,858,215 <br />$ 16,280,077 <br />Operating Expenses <br />$ <br />8,759,440 <br />$ 9,132,875 <br />$ 9,517,728 <br />$ 9,894,897 <br />$ 10,287,824 <br />$ 10,671,969 <br />Net Operating Revenue <br />$ <br />1,213,626 <br />$ 1,863,768 <br />$ 2,863,705 <br />$ 3,664,653 <br />$ 4,570y392 <br />$ 5,608,108 <br />Current Debt Service <br />$ <br />73,742 <br />------------------------------------------------------------------------------- <br />$ 73,742 <br />$ 73,742 <br />$ 73,742 <br />$ 73,742 <br />$ 73,742 <br />Proposed Debt Service <br />$ <br />- <br />$ - <br />$ - <br />$ - <br />$ - <br />$ - <br />----------------- ----- <br />Total Operating and Debt Service <br />-------------------------------------------- <br />$ <br />------------------------------------------------------------------------------------------------------------------ <br />8,833,182 <br />$ 9,206,618 <br />$ 9,591,470 <br />$ 9,968,639 <br />---- <br />$ 10,361,566 <br />$ 10,745,711 <br />Net Revenues Before CIP <br />--------------- <br />Capital Expenditure <br />$ <br />------ <br />$ <br />1,139,884 <br />4,111,232 <br />$ 1,790,026 <br />---------------------------------------------------------------------------- <br />$ 5,000,000 <br />$ 2,789,962 <br />$ 5,000,000 <br />$ 3,590,911 <br />$ 5,000,000 <br />$ 4,496,649 <br />$ 5,000,000 <br />$ 5,534,366 <br />------ <br />$ 5,000,000 <br />-------------------------------------------- <br />Net Income <br />------------------------------------------------------------------------------------------------------------------- <br />$ <br />(2,971,348) <br />$ (3,209,974) <br />$ (2,210,038) <br />$ (1,409,089) <br />$ (503,351) <br />$ 534,366 <br />-------- <br />Ending Balance <br />------ <br />$ 15,347,265 <br />----------- <br />$ 12,137,291 <br />$ 9,927,253 <br />$ 8,518,164 <br />----- <br />$ 8,014,814 <br />$ 8,549,180 <br />------------- <br />Reserve Target <br />$8,649,461 <br />------------------ <br />$8,742,820 <br />$8,839,033 <br />------------------------ <br />$8,933,326 <br />$9,031,557 <br />$9,127,594 <br />City of Santa Ana - 2026 Water and Sewer Rate Study 54 <br />