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Table 30. Status Quo Financial Pro Forma for City of Santa Ana Water System, <br />FY 2026 to FY 2031 <br />Rate Increase <br />------- ---------------- ----------------------------------------------------------------------------------------------------------------------------------------------------- <br />Rate Month Implemented <br />---------------- <br />Cash Position Opening Balance <br />Revenues <br />-------------------------------------------------------------------------------------------------------------------------- <br />$ <br />0.0% <br />FY 2026 <br />4-,000,000 <br />0.0% <br />FY 2027 <br />$ 5815826 <br />0.0% <br />FY 2028 <br />$ (6,770,055) <br />0.0% <br />FY 2029 <br />$ (19,114,342) <br />0.0% <br />FY 2030 <br />$ (36,475,592) $ <br />0.0% <br />FY 2031 <br />(58,990,983) <br />Water Rate Revenue <br />$ <br />71,416,969 <br />$ 71,585,915 <br />$ 71,695,879 <br />$ 71,866,862 <br />$ 72,044,666 <br />$ 72,153,118 <br />Adjusted Water Rate Revenue <br />$ <br />- <br />$ - <br />$ - <br />$ - <br />$ - <br />$ - <br />Other Operating Revenue <br />$ <br />3,874,380 <br />$ 3,874,380 <br />$ 3,874,380 <br />$ 3,874,380 <br />$ 3,874,380 <br />$ 3,874,380 <br />Non -Operating Revenue <br />$ <br />1,508,000 <br />$ 1,508,000 <br />$ 1,508,000 <br />$ 1,508,000 <br />$ 1,508,000 <br />$ 1,508,000 <br />Total Revenues <br />$ <br />76,799,349 <br />$ 76,968,296 <br />$ 77,078,259 <br />$ 77,249,242 <br />$ 77,427,046 <br />$ 77,535,498 <br />Operating Expenses <br />$ <br />73,493,080 <br />$ 76,476,623 <br />$ 79,581,992 <br />$ 82,770,189 <br />$ 86,099,883 <br />$ 89,367,767 <br />Net Operating Revenues <br />$ <br />3,306,269 <br />$ 491,673 <br />$ (2,503,733) <br />$ (5,520,947) <br />$ (8,672,837) <br />$ (11,832,269) <br />Current Rate Funded Debt Service <br />$ <br />3,272,735 <br />$ 3,843,554 <br />$ 3,840,554 <br />$ 3,840,304 <br />$ 3,842,554 <br />$ 3,842,054 <br />New Debt Service <br />$ <br />- <br />$ - <br />$ - <br />$ - <br />$ - <br />$ <br />Total Rate Funded Debt Service <br />---------------------------------------------------- <br />DSCR <br />Total Operating and Debt Service <br />$ <br />---------------------------------------------------------------------------------------------------------------------------- <br />$ <br />3,272,735 <br />1.01 <br />76,765,815 <br />$ 3,843,554 <br />0.13 <br />$ 80,320,176 <br />$ 3,840,554 <br />-0.65 <br />$ 83,422,546 <br />$ 3,840,304 <br />-1.44 <br />$ 86,610,492 <br />$ 3,842,554 <br />-2.26 <br />$ 89,942,436 <br />$ 3,842,054 <br />-3.08 <br />$ 93,209,820 <br />Total Operating and Debt Net Revenues <br />---------------------------------------------------- <br />Capital Expenditure <br />$ <br />---------------------------------------------------------------------------------------------------------------------------- <br />$ <br />------------------------------------------- <br />$ <br />--- <br />$ <br />33,534 <br />3,451,708 <br />(3,418,174) <br />-------------------------------------------------------------- <br />581,826 <br />$ (3,351,881) $ <br />$ 4,000,000 $ <br />$ (7,351,881) $ <br />$ (6,770,055) <br />(6,344,287) <br />6,000,000 <br />- - - - <br />(12,344,287) <br />($19,114,342) <br />$ (9,361,250) <br />$ 8,000,000 <br />------------ <br />$ (17,361,250) <br />($36,475,592) <br />$ (12,515,391) <br />$ 10,000,000 <br />---------------------------------------- <br />$ (22,515,391) <br />-------------------------------------- <br />($58,990,983) <br />$ (15,674,323) <br />$ 12,000,000 <br />$ (27,674,323) <br />($86,665,306) <br />---------------- — <br />Net Income <br />-- ---- - <br />Ending Balance <br />City of Santa Ana - 2026 Water and Sewer Rate Study 23 <br />