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HomeMy WebLinkAboutEDB 2022-06 Board Financial Package Clay County Utility Authority Working together to 3176 Old Jennings Road protect public health, Middleburg, 2 9 conserve our natural GJI Telephone(90904)272 72-5 5999 resources,and create ♦ long-term value for s/Ty AUTNOQ' www.clayutility.org our ratepayers. July 26, 2022 To: Board of Supervisors From: Jeffrey Wesselman Re: June 2022 Financial Package I have enclosed the following financial information: A) Comparative Financial Statements for the nine months of fiscal years 2021/2022 and 2020/2021. Comparative Balance Sheet Revenue & Expenditure Report co Cash-flow Statement wB) Cash &Cash Equivalents Report at June 30, 2022 co C) Budget Reports for the nine months of Fiscal Year 2021/2022 Operating and Interest Revenue Detail Budget Report Operating Expense Detail Budget Report D) Contributions In Aid of Construction (CIAC) Reports: Summary of total CIAC through June 30, 2022 Alternative Water Supply Details E) Capital Projects Reports: Capital Projects Budget Report F) Operating Detail by Month Operating Revenues Detail by Month Revenue Analysis Summary Operating Expense Detail by Month G) Other Reports Construction Department Budget Deferred Connection Report Key Performance Indicators Operating income is$3,388,107 (31%) over budget due to a favorable revenue and favorable expense variance. Operating revenue is$194,475 (0.5%) over budget and Operating expenses are$3,193,632 (11%) under budget. Itemized operating expense variances are in Section C. We gained 935 active (Residential 908, General Service, 27)water accounts and 933 active sewer(Residential 911, General Service, 22) accounts for the fiscal year 2021/2022 as compared to an increase of 886 active water accounts and an increase of 861 active sewer accounts for the same time in fiscal year 2020/2021. 1 CLAY COUNTY UTILITY AUTHORITY COMPARATIVE FINANCIAL STATEMENTS FISCAL YEAR 2021 /2022 to Section A 07/25/2022 10:09 AM COMPARATIVE BALANCE SHEET FOR CLAY COUNTY UTILITIES Page: 1/1 User: kosborne DB: CCUA Fund 101 GENERAL FUND PERIOD ENDED PERIOD ENDED GL Number Description 06/30/2021 06/30/2022 *** Assets *** Cash 40,403,498.54 37,219,355.24 Investments 51,879,632.03 52,403,907.93 Accounts Receivable 3,026,289.95 4,964,792.03 Fixed Assets 467,319,707.86 507,283,708.30 Accum. Depreciation (168,977,701.50) (181,362,572.42) Other Assets 1,078,824.68 1,095,188.21 Deferred Outflows 1,995,834.08 1,766,135.32 Total Assets 396,726,085.64 423,370,514.61 *** Liabilities *** Liabilities-ST 14,352,150.83 18,806,581.18 Liabilities-LT (over 1 year) 91,932,858.65 84,747,390.81 Total Liabilities 106,285,009.48 103,553,971.99 *** Fund Balance *** Unassigned 50,926,382.11 53,823,792.64 Investment In Capital Assets 236,875,485.20 262,825,972.35 Total Fund Balance 287,801,867.31 316,649,764.99 Beginning Fund Balance 270,357,546.96 293,106,326.89 Net of Revenues VS Expenditures 2,639,208.85 3,166,777.63 Fund Balance Adjustments 17,444,320.35 23,543,438.10 Ending Fund Balance 290,441,076.16 319,816,542.62 Total Liabilities And Fund Balance 396,726,085.64 423,370,514.61 tO 07/25/2022 10:27 AM COMPARATIVE BALANCE SHEET FOR CLAY COUNTY UTILITIES Page: 1/3 User: kosborne DB: CCUA Fund 101 GENERAL FUND PERIOD ENDED PERIOD ENDED GL Number Description 06/30/2021 06/30/2022 *** Assets *** Cash 101.401.101.110 Cash-BB&T L.A.H.H. Account 4,616.85 311.44 101.401.101.125 '12 BBVA Compass Debt Service 825,992.43 938,886.79 101.401.101.160 Cash-BB&T Operating Account 13,858,029.30 10,508,437.90 101.401.101.161 Cash-BB&T Emergency Account 38,616.37 30,541.96 101.401.101.200 CASH-FSA 15,236.60 21,886.02 101.401.101.329 Debt Stabilization Reserve Unrestricted 850,532.45 1,239,606.57 101.401.101.331 2015/2019 Bond Sinking Fund 2,383,319.17 2,308,476.26 101.401.101.333 SBA - 2001 DEP Loan Debt Service Acct 25,126.26 25,122.78 101.401.101.335 CUSTOMER DEPOSIT FUND 3,443,124.41 3,558,466.08 101.401.101.336 SURPLUS FUND 4,890,728.76 3,050,668.10 101.401.101.337 SELF INSURANCE FUND 525,000.00 525,000.00 101.401.101.338 RENEWAL & REPLACEMENT FUND 4,799,605.09 3,392,000.07 101.401.101.340 WATER PLANT FUND (76%) 373,482.23 345,053.21 101.401.101.342 WATER LINE FUND (24%) 144,750.43 194,178.62 101.401.101.343 AWS Cash 2,067,524.77 3,285,297.73 101.401.101.344 SEWER PLANT FUND (53.33%) 5,086,424.48 6,605,502.13 101.401.101.346 SEWER LINE FUND (46.67%) 712,680.12 831,349.43 101.401.101.351 2018 Bond Sinking Fund 357,406.32 357,402.85 101.401.102.100 PETTY CASH FUND 1,302.50 1,167.30 Cash 40,403,498.54 37,219,355.24 Investments 101.401.101.321 Short Term Investments - Restricted 12,108,248.88 0.00 101.401.101.323 Short Term Investments - Surplus 39,771,383.15 52,403,907.93 Investments 51,879,632.03 52,403,907.93 Accounts Receivable 101.401.115.100 ACCOUNTS RECEIVABLE W&S CUST 776,843.03 2,559,836.86 101.401.115.110 A/R CIAC & MISC REPAIR INVS. 377,869.95 465,848.19 101.401.115.120 Loans To Customers 33,386.63 12,456.38 101.401.115.121 Loan to Customers Long-term 352,673.65 330,339.77 101.401.115.200 A/R UNBILLED WATER REVENUE 632,958.11 770,208.26 101.401.115.250 A/R Unbilled Reuse Revenue 152,164.49 168,528.04 101.401.115.300 A/R UNBILLED SEWER REVENUE 908,015.94 836,048.90 101.401.115.400 A/R CLEARING ACCOUNT (1,542.63) (2,145.44) 101.401.117.100 ALLOWANCE FOR DOUBTFULL A/R (206,079.22) (176,328.93) Accounts Receivable 3,026,289.95 4,964,792.03 Fixed Assets 101.401.161.900 LAND 5,268,724.07 5,268,724.07 101.401.162.900 BUILDINGS 7,261,753.35 9,595,996.22 101.401.166.900 MACHINERY & EQUIPMENT 431,334,536.49 452,485,837.90 101.401.168.900 Intangible Assets 0.00 3,652,438.00 101.401.169.900 CONSTRUCTION IN PROGRESS 23,454,693.95 36,280,712.11 Fixed Assets 467,319,707.86 507,283,708.30 Accum. Depreciation 101.401.163.900 ACCUM.DEPRECIATION BUILDINGS (8,162,769.55) (8,831,802.01) 101.401.167.900 ACCUM.DEPR. MACHINERY & EQUIPT (160,814,931.95) (172,530,770.41) Accum. Depreciation (168,977,701.50) (181,362,572.42) Other Assets 101.401.115.150 INTEREST RECEIVABLE 122,434.44 173,901.26 101.401.115.500 PREPAID INSURANCE 233,400.54 243,289.99 101.401.115.550 PREPAID W/C INSURANCE (28,154.37) (83,998.97) 101.401.115.575 PREPAID DEP REGULATORY FEES 14,124.98 14,125.00 101.401.115.600 PREPAID MAINTENANCE & EXPENSES 304,226.31 308,863.49 101.401.141.000 INVENTORY 411,659.54 418,385.51 101.401.141.100 UNUSED POSTAGE 21,133.24 20,621.93 Other Assets 1,078,824.68 1,095,188.21 Deferred Outflows 101.401.158.201 Deferred Outflow of Resources 1,995,834.08 1,766,135.32 4 07/25/2022 10:27 AM COMPARATIVE BALANCE SHEET FOR CLAY COUNTY UTILITIES Page: 2/3 User: kosborne DB: CCUA Fund 101 GENERAL FUND PERIOD ENDED PERIOD ENDED GL Number Description 06/30/2021 06/30/2022 *** Assets *** Deferred Outflows 1,995,834.08 1,766,135.32 Total Assets 396,726,085.64 423,370,514.61 *** Liabilities *** Liabilities-ST 101.401.202.000 ACCOUNTS PAYABLE 1,443,720.91 5,123,622.22 101.401.202.001 Sales Tax 2,165.93 0.00 101.401.202.002 Retainage Payable 244,496.51 521,896.72 101.401.215.100 ACCRUED INTEREST 403,139.09 367,838.38 101.401.216.100 ACCRUED WAGES PAYABLE 297,854.31 354,984.58 101.401.216.200 ACCRUED SICK, VACATION PAYABLE 602,204.54 621,754.64 101.401.217.100 EMPLOYEE FIT,FICA,MEDICARE W/H 68,854.51 74,720.55 101.401.217.300 Employee Fund Withheld 2,521.33 2,133.78 101.401.217.500 ACCRUED PENSION DUE 90,005.90 97,673.92 101.401.217.600 ACCRUED W/C INS. DUE 22,231.46 24,125.47 101.401.218.100 MISC W/H (59.70) (148.77) 101.401.218.250 LIFE INSURANCE (256.68) 250.69 101.401.218.703 HMO/PPO (4,581.73) 1,510.45 101.401.218.705 DENTAL (193.92) 545.39 101.401.218.706 VISION (54.39) (108.25) 101.401.218.707 ANCILLARY (87.39) 64.37 101.401.218.900 ACCRUED ELECTRIC EXPENSE DUE 106,687.98 97,007.93 101.401.220.100 BOND DEPOSITS 80,200.16 133,701.76 101.401.220.150 CLEANING WATER DEPOSITS 107,654.97 121,526.39 101.401.220.175 W&S CUSTOMER DEPOSITS 3,448,868.97 3,597,037.06 101.401.220.180 DUE TO LEND A HELPING HAND 4,606.85 311.44 101.401.220.185 Refundable Development Agreements 2,896.82 8,608.88 101.401.223.100 DEFERRED REVENUES WATER 158,338.04 179,751.00 101.401.223.200 DEFERRED REVENUE SEWER 326,859.83 371,872.24 101.401.223.300 Deferred Reuse Revenue 59,120.97 70,322.53 101.401.229.200 JAX PUBLIC SERV.TAX COLLECTED 0.00 470.66 101.401.229.201 Keystone Public Service Tax (24.32) (22.05) 101.401.232.700 CURRENT BOND PRINCIPAL DUE 6,884,979.88 7,035,129.20 Liabilities-ST 14,352,150.83 18,806,581.18 Liabilities-LT (over 1 year) 101.401.232.569 2012 BBVA Compass Loan 4,510,637.00 3,293,841.00 101.401.232.570 Financing Lease 3,081.96 0.00 101.401.232.571 SunTrust 2015 Adv Ref 2007 Bonds 36,895,642.00 34,964,955.00 101.401.232.572 2018 Revenue Bonds Payable DEP MIDCLAY 12,011,632.73 11,396,177.05 101.401.232.573 Dell Financing Lease 542,513.39 275,999.81 101.401.232.574 Suntrust 2019 Loan & Refinance 44,035,000.00 41,130,000.00 101.401.232.586 2014 DEP Payable 819,331.45 721,547.15 101.401.232.600 CONTRA CURRENT BOND PRINCIPAL (6,884,979.88) (7,035,129.20) Liabilities-LT (over 1 year) 91,932,858.65 84,747,390.81 Total Liabilities 106,285,009.48 103,553,971.99 *** Fund Balance *** IIUnassigned 101.401.272.000 RETAINED EARNINGS-UNRESERVED 50,926,382.11 53,823,792.64 Unassigned 50,926,382.11 53,823,792.64 Investment In Capital Assets 101.401.240.000 AWS CIAC 5,138,721.09 6,858,257.51 101.401.240.100 SJRWMD Black Creek CIAC 0.00 540,180.26 101.401.254.350 WATER CAPACITY CHARGES 10,052,967.24 11,121,207.36 101.401.254.351 FIRE CAPACITY CHARGES 1,867,834.80 1,986,172.65 101.401.254.352 WATER TAP IN CHARGE 2,195,189.22 2,310,810.22 5 07/25/2022 10:27 AM COMPARATIVE BALANCE SHEET FOR CLAY COUNTY UTILITIES Page: 3/3 User: kosborne DB: CCUA Fund 101 GENERAL FUND PERIOD ENDED PERIOD ENDED GL Number Description 06/30/2021 06/30/2022 *** Fund Balance *** 101.401.254.353 WATER CONTRIBUTED ASSETS 48,503,018.40 52,132,790.16 101.401.254.354 WATER MAIN EXTENSION CHARGE 2,761,569.64 3,104,977.87 101.401.254.355 DEBT SERVICE CHARGE 864,590.87 1,292,734.70 101.401.254.360 SEWER CAPACITY CHARGES 41,671,825.88 48,343,126.62 101.401.254.361 GRANTS 22,921,732.51 25,182,945.34 101.401.254.362 SEWER TAP IN CHARGE 2,376,048.66 2,486,399.73 101.401.254.363 SEWER CONTRIBUTED ASSETS 94,419,370.81 102,710,015.95 101.401.254.364 SEWER MAIN EXTENSION CHARGE 4,102,616.08 4,756,353.98 Investment In Capital Assets 236,875,485.20 262,825,972.35 Total Fund Balance 287,801,867.31 316,649,764.99 Beginning Fund Balance 270,357,546.96 293,106,326.89 Net of Revenues VS Expenditures 2,639,208.85 3,166,777.63 Fund Balance Adjustments 17,444,320.35 23,543,438.10 Ending Fund Balance 290,441,076.16 319,816,542.62 Total Liabilities And Fund Balance 396,726,085.64 423,370,514.61 t0 07/25/2022 12:11 PM REVENUE AND EXPENDITURE REPORT FOR CLAY COUNTY UTILITIES Page: 1/1 User: kosborne DB: CCUA PERIOD ENDING 06/30/2022 YTD BALANCE YTD BALANCE GL NUMBER DESCRIPTION 06/30/2021 06/30/2022 Fund 101 - GENERAL FUND WATER REVENUES 14,986,587.78 17,003,307.29 SEWER REVENUES 20,666,268.29 21,736,650.06 MISCELLANEOUS REVENUES 1,254,386.92 1,469,163.28 INTEREST UNRESTRICTED 438,364.89 451,324.76 INTEREST RESTRICTED 132,086.83 36.86 SALE OF ASSETS 90,683.30 112,277.73 CONSTRUCTION INCOME 101,307.61 77,522.72 TOTAL REVENUES 37,669,685.62 40,850,282.70 BAD DEBT (6,712.76) (12,626.36) COMMUNICATION 279,537.52 283,591.66 DUE IN LIEU OF TAXES 1,604,378.52 1,743,298.08 ELECTRIC & FUEL EXPENSES 1,725,552.44 1,974,666.97 MISCELLANEOUS EXPENSES 60,337.00 102,322.41 PROPERTY & LIABILITY INSURANCE 595,219.63 658,893.31 PROFESSIONAL SERVICES 476,585.46 1,064,489.17 SLUDGE TREATMENT & DISPOSAL 1,612,525.47 1,745,625.33 SUBCONTRACTORS 1,816,626.89 1,839,938.36 SUPPLIES 3,270,779.66 3,496,683.12 TRANSPORTATION 459,764.42 530,079.32 WAGES & RELATED EXPENSES 11,574,448.03 12,490,544.38 DEPRECIATION 9,473,326.80 9,854,714.02 INTEREST EXPENSE 1,875,381.40 1,722,693.01 CONSTRUCTION EXPENSE 212,726.29 188,592.29 TOTAL EXPENDITURES 35,030,476.77 37,683,505.07 Fund 101 - GENERAL FUND: TOTAL REVENUES 37,669,685.62 40,850,282.70 TOTAL EXPENDITURES 35,030,476.77 37,683,505.07 NET OF REVENUES & EXPENDITURES 2,639,208.85 3,166,777.63 TOTAL REVENUES - ALL FUNDS 37,669,685.62 40,850,282.70 TOTAL EXPENDITURES - ALL FUNDS 35,030,476.77 37,683,505.07 NET OF REVENUES & EXPENDITURES 2,639,208.85 3,166,777.63 7 CLAY COUNTY UTILITY AUTHORITY STATEMENTS OF CASH FLOWS FOR THE NINE MONTHS ENDED JUNE 30,2021 AND 2022 June 30,2021 June 30,2022 Cash flows from operating activities $ 12,401,347 $ 16,447,342 Net cash provided by operating activities 12,401,347 16,447,342 Cash flows from capital and related financing activities Proceeds from issuance of bonds and loans - - Principal paid on long-term debt (6,609,479) (6,725,230) Interest paid on long-term debt (2,257,039) (2,079,316) Payments to acquire and construct plant property (8,607,562) (24,797,779) Capital contributions 9,045,365 10,326,589 Grants 1,166,410 2,072,094 Net cash used in capital and related financing activities (7,262,305) (21,203,642) Cash flows from investing activities Purchases of investments (11,814,123) (350,299) Sales of investments 6,151,250 - Interest income 570,452 451,362 Net cash provided by investing activities (5,092,422) 101,063 Net increase(decrease)in cash and cash equivalents 46,621 (4,655,237) Cash and cash equivalents,beginning of period 40,356,878 41,874,593 Cash and cash equivalents,end of period $ 40,403,499 $ 37,219,355 Reconciliation of operating income to net cash provided by operating activities Cash flows from operating activities Operating income $ 3,853,455 $ 4,325,831 Adjustments to reconcile operating income to net cash provided by operating activities: Depreciation expense 9,526,966 9,889,314 tO Changes in assets and liabilities Decrease(Increase)in accounts receivable (286,094) (1,438,912) Decrease(Increase)in prepaid items and inventory (34,733) (43,203) Decrease(Increase)in notes/interest receivable 124,179 (77,453) Increase(Decrease)in accounts payable (1,043,415) 3,366,016 Increase(Decrease)in accrued expenses 72,843 182,818 Increase(Decrease)in unearned revenue 113,699 68,561 Increase(Decrease)in customer deposits 74,448 174,370 Total adjustments 8,547,892 12,121,511 Net cash provided by operating activities $ 12,401,347 $ 16,447,342 Supplemental schedule of noncash investing,capital,and financing activities Utility plant property contributed by developers $ 7,232,546 $ 11,144,756 8 Cumulative Cash Flow $100,000,000 /--- Wikm-- $90,000,000 11111111 $80,000,000 $70,000,000 - I I $60,000,000 I I $50,000,000 $40,000,000 $30,000,000 CO $20,000,000 $10,000,000 r. $0 7 - ,y° ,ti° ,° ,ti° ,y° ,y° ,> ,> ,> ,> titi titi titi ,> titi ,> ,> ,> ,y1' 1 :1' ,1' ,yti ,yti titi \s P.�O 49 & �o4 , eC NaC\ ,,es9 4a�' PQt' aJ NJP Ns• ,,00 49 06- ‘o)4 OeC Nac <4e° mat' PQC' �aJ 4' •Cash ■Investments CLAY COUNTY UTILITY AUTHORITY CASH AND CASH EQUIVALENTS REPORT As of June 30, 2022 BB&T Ameris SBA Investments Total Lend A Helping Hand Fund $311 $311 Operating Accounts ** $10,508,438 $10,508,438 FSA Account $21,886 $21,886 Emergency Accounts $30,542 $30,542 Petty Cash $1,167 $1,167 Total Operating Funds $10,562,033 $10,562,033 Public Funds Now: Water Plant Connection Fund $345,053 * $345,053 R Water Line Connection Fund $194,179 * $194,179 R Sewer Plant Connection Fund $6,605,502 * $6,605,502 R Sewer Lines Connection Fund $831,349 * $831,349 R Alternative Water Supply Fund $3,285,298 * $3,285,298 R Renewal&Replacement Fund $3,392,000 * $3,392,000 R Debt Stabilization and Reserve Account_Unrestricted $1,239,607 * - - $1,239,607 Surplus Fund $1,941,194 $901,980 $105,152 $52,403,908 $55,352,234 Available For Construction $17,834,182 $901,980 $105,152 $52,403,908 $71,245,222 Debt Service Sinking Funds: 2007A Bond Sinking Fund $2,308,476 * $2,308,476 R DEP Loan Debt Service Sinking Acct $25,123 * $25,123 R BBVA Compass Loan Sinking Funds $938,887 * $938,887 R 2018 Bond Sinking Fund $357,403 * $357,403 R Debt Stabilization and Reserve Account_Restricted Letter of Credit_Financial Responsible Officer $102,342 $102,342 Customer Deposits&Self Insurance Fund Customer Deposits - * $3,558,466 $3,558,466 Self Insurance Fund_Sewage Backups * Health Insurance - * $500,000 $500,000 Unemployment * $25,000 $25,000 TOTAL Funds $3,732,231 $4,083,466 - - $7,815,697 TOTAL CASH&CASH EQUIVALENTS $32,128,757 $4,985,446 $105,152 $52,403,908 $89,623,263 Investment Accounts Maturity Date Balance APY US Bank Various $52,403,908 1.67% $52,403,908 * BB&T Public Funds Money Checking Accounts $19,522,876 0.25% BB&T Public Funds Money Checking Accounts_Earnings Credit waives bank fees $10,508,438 0.25% Ameris Public Funds Money Checking Accounts $4,985,446 0.30% SBA $105,152 1.25% •w Operating Account has significant Surplus Funds due to Earnings Credit offsetting fees greater than interest Construction Balance $71,245,222 Operating Cash $8,508,438 Available Construction Balance: $79,753,659 "R"indicates fund is Restricted by Bond Resolution,Enabling Legislation or Board Resolution. Printed 7/26/2022 Section B CLAY COUNTY UTILITY AUTHORITY BUDGET REPORTS FISCAL YEAR 2021 /2022 to Section C 07/21/2022 REVENUE AND EXPENDITURE REPORT FOR CLAY COUNTY UTILITIES PERIOD ENDING 06/30/2022 OPERATING BUDGET REPORT 2021-22 YTD BALANCE AVAILABLE %BDGT GL NUMBER DESCRIPTION AMENDED BUDGET 06/30/2022 BALANCE USED OPERATING REVENUES Water Revenues Net Water Base Charges 7,870,135.00 5,800,929.27 2,069,205.73 73.71% Net Water Use Charges 9,778,356.00 7,386,888.63 2,391,467.37 75.54% Net Reuse Water Base Charges 2,743,539.00 2,219,388.26 524,150.74 80.90% Net Reuse Water Usage Charges 2,135,303.00 1,596,101.13 539,201.87 74.75% Net Water Revenues 22,527,333.00 17,003,307.29 5,524,025.71 75.48% Sewage Revenues Net Sewer Base Charges 15,923,690.00 11,923,910.24 3,999,779.76 74.88% Net Sewer Use Charges 13,994,637.00 9,812,739.82 4,181,897.18 70.12% Net Sewage Revenues 29,918,327.00 21,736,650.06 8,181,676.94 72.65% Other Revenues Net Miscellaneous 1,587,083.00 1,469,163.28 117,919.72 92.57% Net Other Revenues 1,587,083.00 1,469,163.28 117,919.72 92.57% Net OPERATING REVENUES 54,032,743.00 40,209,120.63 13,823,622.37 74.42% INTEREST INCOME Net Unrestricted 784,689.00 451,324.76 333,364.24 57.52% Net Restricted 2,666.00 36.86 2,629.14 1.38% Net INTEREST INCOME 787,355.00 451,361.62 335,993.38 57.33% OPERATING EXPENSES Net Bad Debt Expenses 5,000.00 (12,626.36) 17,626.36 -252.53% Net Wage Related Expenses 4,760,166.66 3,658,118.04 1,102,048.62 76.85% Net Communication Expenses 485,154.00 283,591.66 201,562.34 58.45% Net Due in Lieu of Taxes 2,360,055.00 1,743,298.08 616,756.92 73.87% Net Electric&Fuel Expenses 2,482,468.00 1,974,666.97 507,801.03 79.54% Net Miscellaneous Expenses 439,234.00 102,322.41 336,911.59 23.30% Net Property&Liability Insurance 859,395.00 658,893.31 200,501.69 76.67% Net Professional Services 2,287,389.43 1,203,325.26 1,084,064.17 52.61% Net Sludge Treatment&Disposal 1,924,160.00 1,745,625.33 178,534.67 90.72% Net Subcontractors 3,683,466.00 1,799,860.64 1,883,605.36 48.86% Net Supplies 5,702,144.00 3,496,683.12 2,205,460.88 61.32% Net Transportation Expenses 502,451.00 530,079.32 (27,628.32) 105.50% Net Wage Expense 12,000,173.97 8,733,667.97 3,266,506.00 72.78% Net OPERATING EXPENSES 37,491,257.06 25,917,505.75 11,573,751.31 69.13% NON-OPERATING EXPENSES Net Depreciation Expense 12,504,881.00 9,854,714.02 2,650,166.98 78.81% Net Interest Expense 2,074,592.00 1,722,693.01 351,898.99 83.04% Net Loss(Gain)on Sale of Assets 0.00 (112,277.73) 112,277.73 100.00% Net NON-OPERATING EXPENSES 14,579,473.00 11,465,129.30 3,114,343.70 78.64% Net CONSTRUCTION EXPENSES 624,519.85 188,592.29 435,927.56 30.20% Net CONSTRUCTION INCOME 624,519.00 77,522.72 546,996.28 12.41% Net CONTINGENCY 1,136,320.00 0.00 1,136,320.00 0.00% TOTAL REVENUES-ALL FUNDS 55,444,617.00 40,738,004.97 14,706,612.03 73.48% TOTAL EXPENDITURES-ALL FUNDS 53,831,569.91 37,571,227.34 16,260,342.57 69.79% NET OF REVENUES&EXPENDITURES 1,613,047.09 3,166,777.63 (1,553,730.54) 196.32% 12 07/26/2022 08:43 AM EXPENDITURE REPORT FOR CLAY COUNTY UTILITIES Page: 1/1 User: kosborne DB: CCUA PERIOD ENDING 06/30/2022 OPERATING EXPENSE BUDGET REPORT 2021-22 YTD BALANCE AVAILABLE % BDGT GL NUMBER DESCRIPTION AMENDED BUDGET 06/30/2022 BALANCE USED Net WAGES & TEMP. LABOR 12,402,362.97 8,874,774.06 3,527,588.91 71.56 Net CAPITALIZED WAGES 241,797.65 25,990.00 215,807.65 10.75 Net HEALTH & LIFE INSURANCE 2,473,615.98 1,829,585.73 644,030.25 73.96 Net PENSION & BENEFITS 1,269,561.37 1,026,989.96 242,571.41 80.89 Net PAYROLL TAXES 897,582.26 648,343.79 249,238.47 72.23 Net W/C INSURANCE 235,749.25 172,816.59 62,932.66 73.31 Net PROPERTY & LIABILITY INSURANCE 914,250.00 700,950.32 213,299.68 76.67 Net TRANSPORTATION 527,951.00 553,814.05 (25,863.05) 104.90 Net RENTAL EXPENSE 43,194.00 23,517.87 19,676.13 54.45 Net COMMUNICATION EXPENSES 485,154.00 283,591.66 201,562.34 58.45 Net ELECTRIC & FUEL WATER PLANTS 734,000.00 547,784.92 186,215.08 74.63 Net ELECTRIC & FUEL LIFT STATIONS 400,000.00 315,890.21 84,109.79 78.97 Net ELECTRIC & FUEL SEWAGE PLANTS 1,310,865.00 1,078,080.76 232,784.24 82.24 Net ELECTRIC AT OFFICE 37,603.00 32,911.08 4,691.92 87.52 Net CHEMICALS FOR WATER 185,000.00 139,612.54 45,387.46 75.47 Net CHEMICALS FOR SEWAGE 821,203.00 563,420.94 257,782.06 68.61 Net SUPPLIES FOR WATER 1,775,024.00 909,822.39 865,201.61 51.26 Net SUPPLIES FOR SEWAGE 1,258,076.00 841,204.67 416,871.33 66.86 Net OFFICE SUPPLIES 1,668,741.00 1,066,906.36 601,834.64 63.93 Net ENGINEERING EXPENSES 1,317,690.43 754,128.97 563,561.46 57.23 Net LEGAL EXPENSES 545,535.00 290,868.61 254,666.39 53.32 Net AUDIT EXPENSES 33,500.00 23,500.00 10,000.00 70.15 Net SUBCONTRACTORS-WATER 1,295,475.00 616,978.07 678,496.93 47.63 Net SUBCONTRACTORS-SEWAGE 717,863.00 543,813.44 174,049.56 75.75 Net SUBCONTRACTORS-GENERAL 1,680,028.00 651,099.21 1,028,928.79 38.76 Net SLUDGE TREATMENT & DISPOSAL 1,924,160.00 1,745,625.33 178,534.67 90.72 Net BAD DEBT EXPENSE 5,000.00 (12,626.36) 17,626.36 (252.53) Net MISCELLANEOUS 396,040.00 78,804.54 317,235.46 19.90 Net DUE IN LIEU OF TAXES 2,360,055.00 1,743,298.08 616,756.92 73.87 Net CONTINGENCY 1,190,635.00 0.00 1,190,635.00 0.00 TOTAL EXPENDITURES - ALL FUNDS 39,147,711.91 26,071,497.79 13,076,214.12 66.60 13 CLAY COUNTY UTILITY AUTHORITY CIAC REPORTS FISCAL YEAR 2021 /2022 to Section D 07/26/2022 08:43 AM TRIAL BALANCE REPORT FOR CLAY COUNTY UTILITIES Page: 1/2 User: kosborne DB: CCUA PERIOD ENDING 06/30/2022 ACTIVITY FOR 2021-22 BEG. BALANCE MONTH YEAR-TO-DATE END BALANCE GL NUMBER DESCRIPTION AMENDED BUDGET 10/01/2021 06/30/2022 THRU 06/30/22 06/30/2022 Fund 101 - GENERAL FUND Fund Equity WATER CAPACITY 101.401.254.350 WATER CAPACITY CHARGES 10,148,402.33 78,300.00 972,805.03 11,121,207.36 WATER CAPACITY 10,148,402.33 78,300.00 972,805.03 11,121,207.36 SEWER CAPACITY 101.401.254.360 SEWER CAPACITY CHARGES 42,567,255.88 774,395.00 5,775,870.74 48,343,126.62 101.401.254.361 GRANTS 23,110,851.53 0.00 2,072,093.81 25,182,945.34 SEWER CAPACITY 65,678,107.41 774,395.00 7,847,964.55 73,526,071.96 AWS 101.401.240.000 AWS CIAO 5,389,271.45 135,884.45 1,468,986.06 6,858,257.51 AWS 5,389,271.45 135,884.45 1,468,986.06 6,858,257.51 SJRWMD BLACK CREEK 101.401.240.100 SJRWMD Black Creek CIAC 0.00 65,522.92 540,180.26 540,180.26 SJRWMD BLACK CREEK 0.00 65,522.92 540,180.26 540,180.26 WATER MAIN 101.401.254.354 WATER MAIN EXTENSION CHARGE 2,781,061.91 4,454.68 323,915.96 3,104,977.87 WATER MAIN 2,781,061.91 4,454.68 323,915.96 3,104,977.87 SEWER MAIN 101.401.254.364 SEWER MAIN EXTENSION CHARGE 4,147,513.64 5,243.27 608,840.34 4,756,353.98 SEWER MAIN 4,147,513.64 5,243.27 608,840.34 4,756,353.98 FIRE 101.401.254.351 FIRE CAPACITY CHARGES 1,903,723.50 0.00 82,449.15 1,986,172.65 FIRE 1,903,723.50 0.00 82,449.15 1,986,172.65 WATER TAP IN 101.401.254.352 WATER TAP IN CHARGE 2,226,386.48 2,485.59 84,423.74 2,310,810.22 WATER TAP IN 2,226,386.48 2,485.59 84,423.74 2,310,810.22 SEWER TAP IN 101.401.254.362 SEWER TAP IN CHARGE 2,414,030.19 5,180.08 72,369.54 2,486,399.73 SEWER TAP IN 2,414,030.19 5,180.08 72,369.54 2,486,399.73 WATER CONT PROP 101.401.254.353 WATER CONTRIBUTED ASSETS 48,671,992.34 920,720.29 3,460,797.82 52,132,790.16 WATER CONT PROP 48,671,992.34 920,720.29 3,460,797.82 52,132,790.16 SEWER CONT PROP 101.401.254.363 SEWER CONTRIBUTED ASSETS 95,026,058.13 2,680,138.09 7,683,957.82 102,710,015.95 SEWER CONT PROP 95,026,058.13 2,680,138.09 7,683,957.82 102,710,015.95 DEBT SERVICE 15 07/26/2022 08:43 AM TRIAL BALANCE REPORT FOR CLAY COUNTY UTILITIES Page: 2/2 User: kosborne DB: CCUA PERIOD ENDING 06/30/2022 ACTIVITY FOR 2021-22 BEG. BALANCE MONTH YEAR-TO-DATE END BALANCE GL NUMBER DESCRIPTION AMENDED BUDGET 10/01/2021 06/30/2022 THRU 06/30/22 06/30/2022 Fund 101 - GENERAL FUND Fund Equity 101.401.254.355 DEBT SERVICE CHARGE 895,986.87 60,370.50 396,747.83 1,292,734.70 DEBT SERVICE 895,986.87 60,370.50 396,747.83 1,292,734.70 TOTAL FUND EQUITY 239,282,534.25 4,732,694.87 23,543,438.10 262,825,972.35 Total Fund 101 - GENERAL FUND TOTAL ASSETS 0.00 0.00 0.00 0.00 BEG. FUND BALANCE 293,106,326.89 293,106,326.89 + NET OF REVENUES & EXPENDITURES + FUND BALANCE ADJUSTMENTS 23,615,824.02 23,615,824.02 = ENDING FUND BALANCE 239,282,534.25 4,732,694.87 23,543,438.10 262,825,972.35 + LIABILITIES 0.00 0.00 0.00 0.00 = TOTAL LIABILITIES AND FUND BALANCE 239,282,534.25 4,732,694.87 23,543,438.10 262,825,972.35 OUT OF BALANCE 0.00 (4,732,694.87) (23,543,438.10) (262,825,972.35) 16 CLAY COUNTY UTILITY AUTHORITY 2021/2022 Alternative Water Supply Surcharges Beginning October November December January February March April May June July August September Balance Established 10/1/2015 Balance 2021 2021 2021 2022 2022 2022 2022 2022 2022 2022 2022 2022 9/30/2022 Expenditures: Job 991_FCOB Stormwater Harvesting Pilot Project 752,127.03 8,491.92 7,359.24 2,759.72 4,599.53 3,679.62 4,599.53 3,679.62 787,296.21 Stormwater Harvesting Study 49,842.66 49,842.66 Job 00119WP Aquifer Storage&Recovery(ASR) 1,554,488.01 0.00 25,593.03 1,580,081.04 Project Development Advisor 212,388.00 212,388.00 Horizontal Well Feasibility Study 38,788.00 _ 38,788.00 Aquifer Recharge Feasibility Study&Siting 138,059.36 138,059.36 Lake Agresti Reservoir Feasibility Study 5,798.00 5,798.00 Job 20022WL Treatability Pilot Project-AWS Development 327,302.47 34,787.31 111,425.02 30,334.51 43,865.61 92,024.45 22,416.64 15,064.51 677,220.52 I New Development: - Total Expenditures 3,078,793.53 34,787.31 145,509.97 37,693.75 46,625.33 0.00 4,599.53 95,704.07 27,016.17 18,744.13 0.00 0.00 0.00 3,489,473.79 Existing Customers: Revenue: Surcharge Fund(Existing Customers) 3,438,711.41 53,863.44 55,443.36 55,538.56 55,748.00 55,860.00 55,820.80 55,868.96 55,923.84 56,154.56 3,938,932.93 Connection Charge Fund(Growth) 1,836,928.17 21,664.31 492,122.50 70,217.45 26,038.59 15,869.77 64,944.47 49,485.38 106,437.06 61,628.31 2,745,336.01 Interest Income 40,259.54 5.84 1.36 1.25 0.14 0.76 40,268.89 Total Revenue 5,315,899.12 75,533.59 547,565.86 125,757.37 81,787.84 71,729.91 120,765.27 105,354.34 162,360.90 117,783.63 0.00 0.00 0.00 6,724,537.83 Balance 2,237,105.59 40,746.28 402,055.89 88,063.62 35,162.51 71,729.91 116,165.74 9,650.27 135,344.73 99,039.50 0.00 0.00 0.00 3,235,064.04 Cash Balance 3,285,297.73 Done in following Month: Less Construction Costs transferred after month close (50,233.69) J/E-Adjustment True Up for Move-Ins/Move-Outs J/E-Interfund Transfer 3,235,064.04 Page D-la 17 CLAY COUNTY UTILITY AUTHORITY CAPITAL PROJECT BUDGET REPORT to FISCAL YEAR 2021 /2022 Section E 18 Clay County Utility Authority References Capital Projects Budget Report Prior Years Current Fiscal for Transfers Current Fiscal Financial Carry Over Current Fiscal Year Year Combined Transfers and Funds Spent @ Job Cost and Year Job Costs Job Description Job Number Budget Adopted Budget Budgets Amendments 06/30/22 Balances To Fund Amendments 2021 /2022 RENEWAL, REPLACEMENT & BETTERMENT Departmental Capital 100 1,122,764.59 1,052,400.00 2,175,164.59 1,260,674.43 914,490.16 2,175,164.59 Upgrade Lift station 9-Meadowbrook 755 110,000.00 110,000.00 7,427.79 102,572.21 110,000.00 CCUA Main Office Paving and Stripping Rehab 839 105,000.00 105,000.00 1,500.00 103,500.00 105,000.00 Knight Boxx/Old Jennings Force Main Extension 967 100,000.00 100,000.00 9,114.95 90,885.05 100,000.00 LS 40 Orange Park Country Club Rehab 1052 60,000.00 60,000.00 31,496.60 28,503.40 60,000.00 Lucy Branch Maintenance Building Repairs and Renovations 02018RR 120,000.00 120,000.00 10,739.84 109,260.16 120,000.00 Holly Ridge Dr.Force Main Installation 02119SL 280,000.00 280,000.00 286.85 279,713.15 280,000.00 Woodland Drive Force Main Installation 02219SL 239,000.00 239,000.00 0.00 239,000.00 239,000.00 Rehab SP WW Clarifer Wunder drain 1-2 02519RR 100,000.00 900,000.00 1,000,000.00 64,930.20 935,069.80 1,000,000.00 CL2 Storage Tanks-Multiple WTPS 02619WP 50,000.00 50,000.00 100,000.00 32,577.54 67,422.46 100,000.00 Task Order No. 33 -Gravity Rehab in Bellair 20020RR 952,800.54 952,800.54 952,800.54 0.00 952,800.54 Ridgecrest WTP-Replace Softstart&Crossline Starters with VFD's 20021RR 985,000.00 568,016.26 1,553,016.26 423,369.46 1,129,646.80 1,553,016.26 New Lift Station Generators: 172, 165, 151, 142, 163, 124 21002RR 400,000.00 400,000.00 343,850.87 56,149.13 400,000.00 Keystone Club Estates WTP Well No. 1 &@ Well and Pump Evalaution 21008RR 98,263.96 98,263.96 68,838.04 29,425.92 98,263.96 Fleming Island Reg.WWTP-2nd BCR Plant,Two Tanks 21010RR 200,000.00 5,000,000.00 5,200,000.00 3,055,082.20 2,144,917.80 5,200,000.00 Fleming WRF Clarifier No. 1 Upgrade 21014RR 50,000.00 1,158,000.00 1,208,000.00 28,089.60 1,179,910.40 1,208,000.00 Long Bay Rd.Water and Reclaimed Interconnect(Pine Ridge) 21015RR 60,000.00 60,000.00 59,817.29 182.71 60,000.00 Lift Station#2-Upgrade 21016RR 700,000.00 50,791.41 649,208.59 5 700,000.00 Ridgecrest WTP GST#2 Repair 21017RR 108,500.00 120,750.00 (12,250.00) 10 108,500.00 Wastewater Extension to 1045 Live Ok Ln. 21018RR 27,000.00 27,000.00 25,540.58 1,459.42 27,000.00 Ridaught WWTP Upgrades(Install Micro-screen,Grit Removal Equipment,a 21019RR 103,936.00 1,663,706.00 1,767,642.00 164,671.60 1,602,970.40 1,767,642.00 Lift Station#3 Foxbay Upgrade 21022RR 750,000.00 36,297.00 713,703.00 6 750,000.00 Coopergate-TO#7 LS 56&MH 1 21024RR 17,023.15 17,023.15 0.00 3 17,023.15 TO#36-Sandalwood,Fireside&Walgreen 21025RR 23,473.94 24,232.41 (758.47) 4 23,473.94 Meadowbrook Well Rehab 21028RR 70,000.00 630,000.00 700,000.00 (145,000.00) 0.00 555,000.00 12 555,000.00 Meadowbrook WTP Upgrades-(GST#3 repair,Transfer switch,GST#2 roo 21029RR 72,000.00 1,000,000.00 1,072,000.00 102,752.10 969,247.90 1,072,000.00 Insituform R&R-Task Order 37 Rolling Hills&Tanglewood 1A CIPP Linin 21031RR 0.00 1,000,000.00 1,000,000.00 (87,949.45) 574,511.30 337,539.25 14 912,050.55 Wastewater Extension to 3000 Pony Lane 21032RR 0.00 0.00 18,000.00 21,110.57 (3,110.57) 7 18,000.00 Dunster Court Water Main Replacement 22001RR 30,000.00 28,572.11 1,427.89 8 30,000.00 Sharone Court Water Main Replacement 22002RR 25,000.00 23,619.98 1,380.02 9 25,000.00 Vortex Task Order#8 Fy21-22 Manhole Rehabilitation 22004R 87,949.45 87,943.65 5.80 14 87,949.45 Oakleaf WTP Well No.2 22005RR 0.00 145,000.00 69,854.92 75,145.08 12 145,000.00 Water Main Replacement-Boxwood&Baytree 22006RR 0.00 27,000.00 34,552.61 (7,552.61) 13 27,000.00 Ridaught WTP-Phase I GST Upgrades 22007RR 50,000.00 1,100,000.00 1,150,000.00 50,666.00 1,099,334.00 1,150,000.00 Lift Station#4 Upgrades 22008RR 0.00 200,000.00 200,000.00 300,000.00 0.00 500,000.00 16 500,000.00 Lift Station#62 and#67-Rehabilitation 22009RR 0.00 0.00 500,000.00 0.00 500,000.00 17 500,000.00 2"Water Main Replacement-Taurus Lan 22011RR 0.00 0.00 30,000.00 8,579.16 21,420.84 15 30,000.00 CR 218 widening from Pine Tree Lane to Cosmos Not Started 425,000.00 425,000.00 425,000.00 425,000.00 CR 220 widening Baxley to Henley Rd Not Started 0.00 575,000.00 575,000.00 575,000.00 575,000.00 CR 220 widening from Henley to Knightbox Not Started 0.00 420,000.00 420,000.00 420,000.00 420,000.00 X:\Finance\Controllers Folder\Monthly Financial\Monthly Construction Reports\2021-2022\CI P_2022_June.xlsx Page 1 of 4 Clay County Utility Authority References Capital Projects Budget Report Prior Years Current Fiscal for Transfers Current Fiscal Financial Carry Over Current Fiscal Year Year Combined Transfers and Funds Spent @ Job Cost and Year Job Costs Job Description Job Number Budget Adopted Budget Budgets Amendments 06/30/22 Balances To Fund Amendments 2021 /2022 ERP Software Replacement Not Started 0.00 1,400,000.00 1,400,000.00 1,400,000.00 1,400,000.00 Fleming Oaks WTP Electrical Upgrades&Hydro Tank Not Started 0.00 0.00 0.00 0.00 Fleming Oaks WTP: Replace roof on the pump,bleach,and generator buildin Not Started 30,000.00 30,000.00 30,000.00 30,000.00 Keystone Heights-Brooklyn Bay Road Water Main Rehabilitation Not Started 0.00 9,000.00 9,000.00 9,000.00 9,000.00 Keystone Heights-Lakeside Street/Hilltop Street Water Main Rehabilitation Not Started 0.00 0.00 0.00 0.00 Kingsley Cove WTP Well Rehab Not Started 0.00 0.00 0.00 0.00 Lake Asbury WM Improvements(602 Lake Asbury Road to Aldersgate Drive Not Started 0.00 0.00 0.00 0.00 Lift Station SCADA System Not Started 0.00 0.00 0.00 0.00 Miller St.WWTP Upgrades(Complete Paving of Loop Road,Refurbish Influ Not Started 0.00 0.00 0.00 0.00 Pace Island WTP: Electrical&Hydro Tank Upgrades(Replace Hydrotank Ta Not Started 0.00 0.00 0.00 0.00 Ravines Off-Site Mains-Middleburg W&S Extensions Not Started 1,238,000.00 1,238,000.00 1,238,000.00 1,238,000.00 Spencers WTP-Ground Storage&High Service Pump Not Started 0.00 0.00 0.00 0.00 Sandridge Road widening from Henley to CR 209 Not Started 0.00 150,000.00 150,000.00 150,000.00 150,000.00 Server Lifecycle Replacement Not Started 0.00 0.00 0.00 0.00 Upgrade Lift Stations 11,41,69,51 Not Started 1,000,000.00 1,000,000.00 1,000,000.00 1,000,000.00 Upgrade Lift Station 98 Not Started 0.00 0.00 0.00 0.00 Upgrade Lift Stations 9,43,24, 59 Not Started 0.00 0.00 0.00 0.00 WRF SCADA System Not Started 0.00 0.00 0.00 0.00 Water SCADA System Not Started 0.00 0.00 0.00 0.00 Wesley RD WM Improvements(Branscomb Road to Arthur Moore Drive) Not Started 0.00 0.00 0.00 0.00 WTP Ground Storage Tanks: add Handrails Not Started 0.00 576,000.00 576,000.00 576,000.00 576,000.00 Water Plant Meters Retrofits Not Started 0.00 0.00 0.00 0.00 0.00 Ridaught/Greenwood/Lucy Branch/Orange Park South WTP Consolidation a Not Started 0.00 250,000.00 250,000.00 250,000.00 250,000.00 SYSTEM EXPANSION Meadow Lake WTP-New Ground Storage Tank and Electrical Service upgrad 00983WP 363,093.00 1,834,953.00 2,198,046.00 700,956.22 1,497,089.78 2,198,046.00 Peters Creek WTP-Land Costs 01118RR 75,000.00 75,000.00 14,425.70 60,574.30 75,000.00 Henley Road 12"WM Loop-Sandridge to Small Lake 01119WL 106,000.00 106,000.00 11,241.94 94,758.06 106,000.00 North Middleburg Water&Sewer Extension and Interconnection(Water Inte 02419WL 169,191.77 1,700,000.00 1,869,191.77 334,701.17 1,534,490.60 1,869,191.77 Saratoga Springs WTP-Phase I 03018WP 1,211,426.55 1,137,327.00 2,348,753.55 3,622,773.64 (1,274,020.09) 2,348,753.55 Saratoga Springs RWP-Phase I 03118RP 1,160,831.00 446,202.00 1,607,033.00 2,022,575.12 (415,542.12) 1,607,033.00 FCOB Utility Crossings 03218WL 3,900,000.00 3,900,000.00 2,214,898.12 1,685,101.88 3,900,000.00 Middleburg Water and Sewer Relocations 03319WL 602,241.10 602,241.10 521,163.64 81,077.46 602,241.10 Saratoga Springs Offsite Main Extensions 03419WL 485,323.00 2,299,677.00 2,785,000.00 863,974.91 1,921,025.09 2,785,000.00 Mid Clay WWTP-Phase II Plant Expansion 20003SP 582,615.00 4,500,000.00 5,082,615.00 3,502,746.11 1,579,868.89 5,082,615.00 Fleming Island Reg.WWTP-#3 BTU Installation,Design 20004SP 2,149,000.00 4,371,000.00 6,520,000.00 6,615,088.57 (95,088.57) 6,520,000.00 Meadowbrook WTP Chlorine Room Roll-Up Door Addition 20006WP 50,000.00 50,000.00 27,679.08 22,320.92 50,000.00 Fleming Island WWTF Clarifier No.2 Evaluation and Repair 20007SP 140,000.00 140,000.00 110,444.57 29,555.43 140,000.00 2019-054 Doctors Lake Restoration Project 20011SL 236,340.52 175,000.00 411,340.52 954,694.44 (543,353.92) 411,340.52 Brannen Mill Extension-Challenger Center 20012WL 2,200,000.00 2,200,000.00 1,108,828.57 1,091,171.43 2,200,000.00 X:\Finance\Controllers Folder\Monthly Financial\Monthly Construction Reports\2021-2022\CI P_2022_June.xlsx Page 2 of 4 Clay County Utility Authority References Capital Projects Budget Report Prior Years Current Fiscal for Transfers Current Fiscal Financial Carry Over Current Fiscal Year Year Combined Transfers and Funds Spent @ Job Cost and Year Job Costs Job Description Job Number Budget Adopted Budget Budgets Amendments 06/30/22 Balances To Fund Amendments 2021 /2022 Peters Creek WRF-Phase II 20027SP 50,000.00 1,600,000.00 1,650,000.00 (1,408,025.02) 241,974.98 0.00 11 241,974.98 CCUA Storage Building and Site Improvements 21001AD 254,095.00 3,480,750.00 3,734,845.00 2,338,117.40 1,396,727.60 3,734,845.00 Aquarius Concourse Relocation Utility Relocations 21004WL 2,852,544.14 2,852,544.14 46,252.18 2,806,291.96 2,852,544.14 Cross Creek 315 Cost Share&Easement 21005WL 420,000.00 420,000.00 514,807.55 (94,807.55) 420,000.00 Governor's Park WWTF Design and Build 21012SP 25,000.00 25,000.00 44,388.80 (19,388.80) 25,000.00 CCUA Administrative Building Phase I Not Started 0.00 214,907.00 214,907.00 192,556.31 22,350.69 214,907.00 Swimming Penn Creek WM Interconnect 21020WL 2,000,000.00 2,000,000.00 102,431.80 1,897,568.20 2,000,000.00 Water and Wastewater Service to 7065 Artis Rd 21021WL 33,000.00 19,484.55 13,515.45 2 33,000.00 Ravines to Henly Road Water Main Extension 21023WL 2,640,000.00 2,640,000.00 201,097.25 2,438,902.75 2,640,000.00 Governor's Park WTP Design and Build 21026WP 2,400.00 975,000.00 977,400.00 84,828.43 892,571.57 977,400.00 Water Service Extension to 3173 Park Ave 21027WL 0.00 48,000.00 56,610.99 (8,610.99) 1 48,000.00 Peters Creek WTP 2nd GST&3rd Well 21030WP 100,000.00 875,000.00 975,000.00 69,926.75 905,073.25 975,000.00 Peters Creek New Regional WRF 22003SP 0.00 0.00 1,408,025.02 647,359.75 760,665.27 11 1,408,025.02 CCUA North Campus Driveway 22010AD 0.00 0.00 36,340.73 0.00 36,340.73 18 36,340.73 Engineering Cost Allocation 9999999 0.00 305,991.69 (305,991.69) 0.00 Bradley Creek Crossing Cost Share Not Started 129,500.00 129,500.00 129,500.00 129,500.00 Bradley Creek Crossing-Cost Share Not Started 79,000.00 79,000.00 79,000.00 79,000.00 Cost Share Extension from Mayfield Annex to Blanding Not Started 37,800.00 37,800.00 37,800.00 37,800.00 CR218 Utility Main Extensions Not Started 2,500,000.00 2,500,000.00 2,500,000.00 2,500,000.00 1,679.9 ,26179.9Infll Projects NotStaed 1,16 6 ,68 1,261,679.98 Keystone Master Plan WM-Mossy Oaks to Geneva Lake Est. Not Started 900,000.00 900,000.00 900,000.00 900,000.00 Keystone Wastewater Treatment Plant Phase II Construction Not Started 0.00 0.00 0.00 0.00 Mid-Clay&Oakleaf Reclaimed WP Upgrades(Install 3rd High Service Pumi Not Started 350,000.00 350,000.00 350,000.00 350,000.00 Old Jennings Rd Estimated Cost Share on oversizing to Commercial stub Not Started 40,000.00 40,000.00 40,000.00 40,000.00 Peters Creek WWTP-Land Acquisition Not Started 0.00 0.00 0.00 0.00 Peters Creek Reclaimed Additions Not Started 0.00 0.00 0.00 Pier Station E/W WM Extension and Interconnect(State Road 16 and FCOB) Not Started 0.00 750,000.00 750,000.00 750,000.00 750,000.00 Pier Station Force Main Extensions(State Road 16 and FCOB) Not Started 0.00 0.00 0.00 0.00 Pier Station Master Pump Station(State Road 16 and FCOB) Not Started 0.00 250,000.00 250,000.00 250,000.00 250,000.00 Pier Station WTP Expansion Not Started 0.00 0.00 0.00 0.00 Ravines WTP 2nd GST Not Started 0.00 0.00 0.00 0.00 Ridaught RWP 750K Ground Storage Tank Not Started 0.00 0.00 0.00 0.00 Ridaught RWP-Install 3rd High Service Pump Not Started 0.00 0.00 0.00 0.00 Spencer's WWTP: Phase 6 Expansion Not Started 0.00 0.00 0.00 0.00 Water System Interconnects-Misc Not Started 0.00 660,000.00 660,000.00 660,000.00 660,000.00 Ridaught/Greenwood/Lucy Branch/Orange Park South WTP Consolidation a Not Started 0.00 50,000.00 50,000.00 50,000.00 50,000.00 Longbay Rd. Master Pump Station and Force Main Not Started 0.00 0.00 0.00 0.00 Village Park&Bradley Creek(Developer Agreement MU18/19-1) Not Started 258,078.00 258,078.00 258,078.00 258,078.00 ALTERNATIVE WATER SUPPLY 21 X:\Finance\Controllers Folder\Monthly Financial\Monthly Construction Reports\2021-2022\CI P_2022_June.xlsx Page 3 of 4 Clay County Utility Authority References Capital Projects Budget Report Prior Years Current Fiscal for Transfers Current Fiscal Financial Carry Over Current Fiscal Year Year Combined Transfers and Funds Spent @ Job Cost and Year Job Costs Job Description Job Number Budget Adopted Budget Budgets Amendments 06/30/22 Balances To Fund Amendments 2021 /2022 Aquifer Storage&Recovery(ASR)-Hydrogeologic Well Construction and] 00119WP 2,321,500.00 2,321,500.00 1,580,081.04 741,418.96 2,321,500.00 Potable Reuse Pilot Project 20022WL 429,261.99 185,000.00 614,261.99 677,220.52 (62,958.53) 614,261.99 2 MGD Potable Reuse Not Started Other AWS(Stormwater,RIBs,Reclaimed Storage, etc) Not Started Subtotals 38,030,686.14 43,306,938.26 81,337,624.40 2,646,337.82 37,541,386.54 46,442,575.68 83,983,962.22 Contingency 13,719,293.47 13,719,293.47 (2,646,337.82) (1-18) 11,072,955.65 TOTAL CAPITAL EXPENDITURES 95,056,917.87 95,056,917.87 Construction In Progress 36,280,712.11 Not Started 13,553,964.98 Completed Jobs 1,260,674.43 Started 81,502,952.89 37,541,386.54 95,056,917.87 to 22 X:\Finance\Controllers Folder\Monthly Financial\Monthly Construction Reports\2021-2022\CIP_2022_June.xlsx Page 4 of 4 CLAY COUNTY UTILITY AUTHORITY OPERATING DETAIL BY MONTH FISCAL YEAR 2021 /2022 to Section F 23 07/26/2022 08:47 AM REVENUE REPORT FOR CLAY COUNTY UTILITIES Page: 1/1 User: kosborne DB: CCUA PERIOD ENDING 06/30/2022 OPERATING REVENUE BUDGET REPORT ACTIVITY FOR 2021-22 MONTH YTD BALANCE % BDGT GL NUMBER DESCRIPTION AMENDED BUDGET 06/30/2022 06/30/2022 USED OPERATING REVENUES Water Revenues Water Base Charges 101.401.343.301 RESIDENTIAL WATER BASE CHARGE 6,379,316.00 523,253.15 4,746,081.16 74.40 101.401.343.303 GENERAL SERVICE WATER BASE 1,226,278.00 102,804.01 894,248.34 72.92 101.401.346.303 Commercial Potable Irrigation Base 264,541.00 17,618.59 160,599.77 60.71 Net Water Base Charges 7,870,135.00 643,675.75 5,800,929.27 75.48 Water Use Charges 101.401.344.303 Residential Water Usage Tier 1 3,485,504.00 302,669.46 2,646,332.74 75.92 101.401.344.304 Residential Water Usage Tier 2 2,060,486.00 233,827.96 1,582,589.32 76.81 101.401.344.305 Residential Water Usage Tier 3 864,211.00 124,084.06 690,209.99 79.87 101.401.344.306 Residential Water Usage Tier 4 1,007,439.00 161,165.75 787,158.84 78.13 101.401.345.305 Commercial Water Usage 1,787,785.00 169,774.30 1,287,632.07 72.02 101.401.346.306 Commercial Potable Irrigation Usage T 124,838.00 11,342.16 86,670.23 69.43 101.401.346.307 Commercial Potable Irrigation Usage T 199,467.00 18,492.59 111,902.48 56.10 101.401.346.308 Commercial Potable Irrigation Usage T 155,689.00 14,311.72 77,610.49 49.85 101.401.346.309 Commercial Potable Irrigation Usage T 92,937.00 17,569.81 116,782.47 125.66 Net Water Use Charges 9,778,356.00 1,053,237.81 7,386,888.63 75.48 Reuse Water Base Charges 101.401.343.601 Reuse Residential Base 2,486,808.00 228,000.67 2,031,782.32 81.70 101.401.343.602 Reuse Commercial Base 256,731.00 21,542.43 187,605.94 73.07 Net Reuse Water Base Charges 2,743,539.00 249,543.10 2,219,388.26 75.48 Reuse Water Usage Charges 101.401.347.403 Reuse Residential Usage Tier 1 807,652.00 90,457.51 642,537.55 79.56 101.401.347.404 Reuse Residential Usage Tier 2 220,440.00 25,708.50 163,788.23 74.30 101.401.347.405 Reuse Residential Usage Tier 3 635,232.00 78,150.16 445,456.13 70.12 101.401.347.406 Reuse Commercial Usage Tier 1 95,776.00 7,952.77 58,942.65 61.54 101.401.347.407 Reuse Commercial Usage Tier 2 32,826.00 3,218.91 21,504.36 65.51 101.401.347.408 Reuse Commercial Usage Tier 3 229,727.00 30,103.28 159,710.34 69.52 101.401.349.506 CROSSINGS RECLAIMED WATER CHRG 113,650.00 18,665.58 104,161.87 91.65 Net Reuse Water Usage Charges 2,135,303.00 254,256.71 1,596,101.13 75.48 Net Water Revenues 22,527,333.00 2,200,713.37 17,003,307.29 75.48 Sewage Revenues Sewer Base Charges 101.401.343.501 RESIDENTIAL SEWER BASE CHARGE 13,725,981.00 1,115,632.79 10,120,383.07 73.73 101.401.343.504 GENERAL SERVICE SEWER BASE 2,197,709.00 205,196.42 1,803,527.17 82.06 Net Sewer Base Charges 15,923,690.00 1,320,829.21 11,923,910.24 72.65 Sewer Use Charges 101.401.343.502 RESIDENTIAL SEWER USAGE CHARGE 10,261,010.00 868,319.07 7,304,460.51 71.19 101.401.343.505 GENERAL SERVICE SEWER USAGE 3,524,827.00 268,888.43 2,366,789.33 67.15 101.401.343.506 PORTALET SEWAGE REVENUE 208,800.00 17,977.75 141,489.98 67.76 Net Sewer Use Charges 13,994,637.00 1,155,185.25 9,812,739.82 72.65 Net Sewage Revenues 29,918,327.00 2,476,014.46 21,736,650.06 72.65 Net OPERATING REVENUES 52,445,660.00 4,676,727.83 38,739,957.35 72.65 TOTAL REVENUES - ALL FUNDS 52,445,660.00 4,676,727.83 38,739,957.35 73.87 24 Budgeted vs. Actual - Base & Use Charges, Total 30,000,000 25,000,000 rFL/4". 196Ailim 20,000,000 — / AIMIL IIIIhilh . I_ 15,000,000 .. ..."1 10,000,000 i _ 3 tO 5,000,000 0 October November December January February March April May June July August September mm Actual Base Charges NI Actual Use Charges .—Budgeted Base Charges .—Budgeted Use Charges Operating Revenue $6,000,000 $5,000,000 $4,000,000 - $3,000,000 — --- - - - $2,000,000 to I 1 ill $1,000,000 _F $0 October November December January February March April May June July August September Actual Optg Rev - Prior Year Optg Rev Budgeted Optg Rev Operating Net Income $2,500,000 $2,000,000 — $1,500,000 r L--ii I t i 0.s t uL I or r ,_ f $1,000,000 0 - i- $0$500,000 March April May June July August September October November December January February Actual Net Income .••••Prior Year Net Income . Budgeted Net Income CLAY COUNTY UTILITY AUTHORITY OTHER REPORTS FISCAL YEAR 2021 /2022 to Section G 28 07/26/2022 08:48 AM REVENUE AND EXPENDITURE REPORT FOR CLAY COUNTY UTILITIES Page: 1/2 User: kosborne DB: CCUA PERIOD ENDING 06/30/2022 CONSTRUCTION DEPARTMENT BUDGET ACTIVITY FOR 2021-22 MONTH YTD BALANCE ENCUMBERED UNENCUMBERED % BDGT GL NUMBER DESCRIPTION AMENDED BUDGET 06/30/22 06/30/2022 YEAR-TO-DATE BALANCE USED INTERNAL BILLINGS 101.401.349.609 BILLINGS TO CCUA-CAPITAL ASSET 624,519.00 710.81 77,522.72 0.00 546,996.28 12.41 Net INTERNAL BILLINGS 624,519.00 710.81 77,522.72 0.00 546,996.28 12.41 WAGES 101.401.536.128 C/D JOB PAYROLL 0.00 438.44 37,597.71 0.00 (37,597.71) 100.00 101.401.536.129 C/D CONTRA JOB PAYROLL 0.00 (438.44) (37,597.71) 0.00 37,597.71 100.00 101.502.536.121 WAGES HOURLY 241,797.65 313.54 25,990.00 0.00 215,807.65 10.75 Net WAGES (241,797.65) (313.54) (25,990.00) 0.00 (215,807.65) 10.75 HEALTH/LIFE INSURANCE 101.502.536.230 EMPLOYEE HEALTH&LIFE INSURANCE 63,804.38 56.80 5,869.10 0.00 57,935.28 9.20 Net HEALTH/LIFE INSURANCE (63,804.38) (56.80) (5,869.10) 0.00 (57,935.28) 9.20 RETIREMENT & BENEFITS 101.502.536.220 EMPLOYEE RETIREMENT & BENEFITS 25,643.32 229.12 4,291.84 93.25 21,258.23 17.10 Net RETIREMENT & BENEFITS (25,643.32) (229.12) (4,291.84) (93.25) (21,258.23) 17.10 PAYROLL TAXES 101.502.536.210 EMPLOYER FICA PAYROLL TAXES 18,088.12 23.52 1,940.83 0.00 16,147.29 10.73 Net PAYROLL TAXES (18,088.12) (23.52) (1,940.83) 0.00 (16,147.29) 10.73 WORKMENS COMPENSATION INS. 101.502.536.240 W/C INSURANCE 8,806.38 11.46 940.35 0.00 7,866.03 10.68 101.502.536.246 W/C INSURANCE 0.00 0.00 13.99 0.00 (13.99) 100.00 101.508.536.246 CONSTRUCTION W/C INSURANCE 0.00 0.00 189.19 0.00 (189.19) 100.00 101.509.536.246 CONSTRUCTION W/C INSURANCE 0.00 578.32 6,078.84 0.00 (6,078.84) 100.00 101.517.536.246 CONSTRUCTION W/C INSURANCE 0.00 0.00 293.89 0.00 (293.89) 100.00 Net WORKMENS COMPENSATION INS. (8,806.38) (589.78) (7,516.26) 0.00 (1,290.12) 85.35 PROPERTY/LIABILITY INSURANCE 101.502.536.451 PROPERTY INSURANCE-CONSTRUCTION 54,855.00 4,675.14 42,057.01 0.00 12,797.99 76.67 Net PROPERTY/LIABILITY INSURANCE (54,855.00) (4,675.14) (42,057.01) 0.00 (12,797.99) 76.67 OFFICE SUPPLIES 101.502.536.529 SUPPLIES OFFICE 900.00 0.00 146.26 0.00 753.74 16.25 Net OFFICE SUPPLIES (900.00) 0.00 (146.26) 0.00 (753.74) 16.25 TOOLS & SUPPLIES 101.502.536.407 JOB EQUIPMENT CHARGES 0.00 0.00 17,347.50 0.00 (17,347.50) 100.00 101.502.536.527 TOOLS & SUPPLIES 5,000.00 34.98 6,790.02 (23.39) (1,766.63) 135.33 Net TOOLS & SUPPLIES (5,000.00) (34.98) (24,137.52) 23.39 19,114.13 482.28 FUEL, OIL, & REPAIRS 101.502.536.468 EQUIP REPAIR&MAINTENANCE 15,000.00 0.00 15,868.80 2,865.00 (3,733.80) 124.89 Net FUEL, OIL, & REPAIRS (15,000.00) 0.00 (15,868.80) (2,865.00) 3,733.80 124.89 29 07/26/2022 08:48 AM REVENUE AND EXPENDITURE REPORT FOR CLAY COUNTY UTILITIES Page: 2/2 User: kosborne DB: CCUA PERIOD ENDING 06/30/2022 CONSTRUCTION DEPARTMENT BUDGET ACTIVITY FOR 2021-22 MONTH YTD BALANCE ENCUMBERED UNENCUMBERED % BDGT GL NUMBER DESCRIPTION AMENDED BUDGET 06/30/22 06/30/2022 YEAR-TO-DATE BALANCE USED TRANSPORTATION 101.502.536.401 TRANSPORTATION EXPENSES 25,500.00 3,961.01 23,734.73 0.00 1,765.27 93.08 Net TRANSPORTATION (25,500.00) (3,961.01) (23,734.73) 0.00 (1,765.27) 93.08 MISCELLANEOUS 101.502.536.221 EMPLOYEE TRAINING & TRAVEL 4,325.00 0.00 2,270.00 0.00 2,055.00 52.49 Net MISCELLANEOUS (4,325.00) 0.00 (2,270.00) 0.00 (2,055.00) 52.49 DEPRECIATION 101.401.536.595 CONSTRUCTION R&R (DEPRECIATION 104,385.00 2,123.24 34,600.25 0.00 69,784.75 33.15 Net DEPRECIATION (104,385.00) (2,123.24) (34,600.25) 0.00 (69,784.75) 33.15 MATERIALS & SUBCONTRACTORS 101.502.536.435 TRASH SERVICE 2,100.00 0.00 0.00 0.00 2,100.00 0.00 101.502.536.461 SUBCONTRACTORS 0.00 0.00 169.69 0.00 (169.69) 100.00 Net MATERIALS & SUBCONTRACTORS (2,100.00) 0.00 (169.69) 0.00 (1,930.31) 8.08 CONTINGENCY 101.401.536.990 CONTINGENCY 54,315.00 0.00 0.00 0.00 54,315.00 0.00 Net CONTINGENCY (54,315.00) 0.00 0.00 0.00 (54,315.00) 0.00 TOTAL REVENUES - ALL FUNDS 624,519.00 710.81 77,522.72 0.00 546,996.28 12.41 TOTAL EXPENDITURES - ALL FUNDS 624,519.85 12,007.13 188,592.29 2,934.86 432,992.70 30.67 NET OF REVENUES & EXPENDITURES (0.85) (11,296.32) (111,069.57) (2,934.86) 114,003.58 .2,285.88 30 Deferred Connection Charges Report Board Summary As of June 30,2022 Subdivision Execution Date Deferred Charges Lots In Service Remaining Paid Pending Collection% In Process: Linda Lakes Subdivision 02/19/2016 $303,170 122 112 10 $278,320 $24,850 91.80% Laurel Grove Estates 06/24/2020 $242,588 56 54 2 $233,925 $8,664 96.43% Pinewood Place Subdivision 12/08/2020 $355,531 82 67 15 $290,495 $65,036 81.71% Willow Springs mg11/19/2019 $632,540 150 146 4 $615,673 $16,868 97.33% Goose Creek Estates 10/27/2020 $219,738 52 0 52 $219,738 0.00% Willow Springs Subdivision 2A,2B&3 01/21/2021 $967,694 229 88 141 $371,865 $595,829 38.43% Fleming Estates 05/11/2018 $172,602 40 30 10 $129,452 $43,151 75.00% Cross Creek Subdivision Phase I,Unit 1A 04/17/2018 $1,101,014 263 251 12 $1,050,777 $50,236 95.44% Village Park 03/12/2019 $658,334 156 120 36 $506,411 $151,923 76.92% Royal Pointe 04/10/2019 $261,103 58 41 17 $184,573 $76,530 70.69% Avonlea Hills Subdivision Phase 1 02/25/2021 $1,005,726 238 68 170 $287,350 $718,376 28.57% Anabelle Island Subdivision Phases 1A,16&2 09/07/2021 $1,453,655 344 0 344 $1,453,655 0.00% Cross Creek 2B-1 04/19/2021 $536,669 127 114 13 $481,734 $54,935 89.76% Cross Creek Subdivision Phase 2B-2 04/20/2021 $342,285 81 0 81 $342,285 0.00% Sugar Leaf Farms Subdivision 05/27/2021 $498,637 118 0 118 $498,637 0.00% Wilford Preserve Subdivision Ph3 07/21/2021 $583,152 138 0 138 ' $583,152 0.00% Cross Creek Subdivision 2C 10/05/2021 $955,017 226 0 226 $955,017 0.00% Cross Creek Subdivision Phase 2F 10/27/2021 $477,509 113 0 113 $477,509 0.00% Granary Park Subdivision Phase 2 03/14/2022 $1,178,981 279 0 279 $1,178,981 0.00% Robinson Ranch Subdivision,Phase I 03/29/2022 $836,697 198 0 198 $836,697 0.00% Creekview Trail Area 5 05/27/2022 $1,051,216 243 0 243 $1,051,216 0.00% Eagle Landing at Oakleaf Plantation,Phase 6 12/18/2018 $324,247 77 72 5 $303,192 $21,055 93.51% Eagle Landing at Oakleaf Plantation,Phase 5B 02/05/2019 $418,348 99 0 99 $418,348 0.00% Eagle Landing at Oakleaf Plantation,Phase 6,Part 2 10/11/2019 $358,435 II 85 64 21 1 $269,880 $88,555 75.29% Greyhawk Subdivision,Units 2&3 11/19/2019 $1,266,232 300 272 28 $1,148,050 $118,182 90.67% Wilford Preserve,Phase 2 11/25/2019 $734,523 174 158 16 1 $666,980 $67,542 90.80% Cameron Oaks Subdivision,Phase 3 -91 Lots 08/03/2020 $383,637 91 90 1 $379,421 $4,216 98.90% Discovery Trails at Oakleaf Royal Pines Drive 12/14/2021 $211,990 54 0 54 $211,990 0.00% Double Branch Subdivision 01/31/2022 $646,538 153 0 153 $646,538 0.00% Cheswick South Subdivision 05/04/2022 $1,003,630 232 I 0 232 M.11 $1,003,630 0.00% In Process Totals $19,181,440 4,578 1,747 2,831 $7,198,099 $11,983,341 37.53% 31 Deferred Connection Charges Report Board Summary As of June 30,2022 Subdivision Execution Date Deferred Charges Lots In Service Remaining Paid Pending Collection Completed: Magnolia West Subdivision,Phase 2,3&4 08/16/2018 $488,305 126 126 0 $488,305 100.00% Osprey Landing Court Lots 1,2&3 01/25/2019 $12,914 3 3 0 $12,914 100.00% Somerset Subdivision 12/21/2018 $435,695 101 101 0 $435,695 100.00% Cameron Oaks,Phase I 01/25/2019 $394,989 91 91 0 $394,989 100.00% Pine Ridge Plantation West 01/25/2019 $189,346 41 41 0 $189,346 100.00% Cross Creek Subdivision Phase I,Unit 1C 01/23/2020 $493,166 117 117 0 $493,166 100.00% Cross Creek Subdivision Phase I,Unit 16 01/23/2020 $147,142 35 35 0 $147,142 100.00% Cross Creek Subdivision Phase 2 100 Lots 11/16/2020 $422,574 100 100 0 $422,574 100.00% Wilford Preserve 06/19/2018 $557,902 133 133 0 $557,902 100.00% Traceland 12/15/2017 $423,407 101 101 0 $423,407 100.00% Completed Totals $3,565,440 848 848 0 $3,565,440 100.00% Grand Totals $22,746,880 5,426 2,595 2,831 $10,763,539 $11,983,341 47.32% Summary by FY Deferred Charges Lots In Service Remaining Paid Pending Collection% FY 2016 $303,170 122 112 10 $278,320 $24,850 91.80% FY 2017 0 0 0 FY 2018 $2,743,230 663 641 22 $2,649,843 $93,387 96.60% FY 2019 $2,694,977 626 469 157 $2,027,120 $667,857 75.22% FY 2020 $4,258,264 1,008 936 72 $3,954,238 $304,026 92.86% FY 2021 $6,385,662 1,509 437 1,072 $1,854,018 $4,531,643 29.03% FY 2022 $6,361,578 1,498 0 1,498 $6,361,578 0.00% Grand Totals $22,746,880 5,426 2,595 2,831 $10,763,539 $11,983,341 47.32% 32 CLAY COUNTY UTILITY AUTHORITY KEY PERFORMANCE INDICATORS- PERIOD ENDING 06/30/2022 Ratio Calculation vs.Target Target Days of Cash on Hand Undesignated Cash 70,813,826 /Operating Expense per day / 95,991 Days of Cash on Hand = 738 322 In Years 2.02 Debt Ratio Total Liabilities 103,553,972 /Total Assets / 410,097,077 Debt Ratio(%) = 25% 0 43% Debt-Service Coverage Ratio Revenue,Annualized 53,612,161 -O&M Costs,Annualized - 34,556,674 /Total Debt Service / 9,170,073 Debt-Service Coverage Ratio 2.08 0 2.00 Operating Ratio Total O&M Costs 34,556,674 /Total Operating Revenue / 53,612,161 Operating Ratio 64% 72% Employee Turnover YTD#of Employee Departures 18 Rolling 12-month turnover 25 tO /Total#of FTE's / 181 Rolling 12-month Employee Turnover 13.8% ® 9.1% Current Ratio Current Assets 79,051,104 /Current Liabilities / 18,806,581 Current Ratio 4.20 0 2.0 Return on Assets Net Income 14,291,615 Net Income,Annualized 19,055,487 /Total Assets,Annualized 413,624,500 Return on Assets 4.6% n 2.2% 33 CLAY COUNTY UTILITY AUTHORITY DAYS OF CASH ON HAND 1,000 900 896 800 772 Y 788�752 767 :� 771 777 763 75�738 700 600 584 500 400 322 300 200 100 SEP-19 SEP-20 SEP-21 OCT-21 NOV-21 DEC-21 JAN-22 FEB-22 MAR-22 APR-22 MAY-22 JUN-22 Days of Cash of Hand Target DEBT RATIO 50% 45% 43% 40% 35% - - • 30% 30% 25% 25% 27%27%26% 26%-26%-26%-26%-26%— 25% 25% 20% 15% 10% 5% 0%Li SEP-19 SEP-20 SEP-21 OCT-21 NOV-21 DEC-21 JAN-22 FEB-22 MAR-22 APR-22 MAY-22 JUN-22 tDebt Ratio(%) Target DEBT SERVICE COVERAGE 3.00 2.50 .35 2.39 2.00 " 1.95� �1.96 2.07 2.04 1.95 1.95 1.99 .01 _2.08 1.87 1.50 1.00 0.50 0.00 1 SEP-19 SEP-20 SEP-21 OCT-21 NOV-21 DEC-21 JAN-22 FEB-22 MAR-22 APR-22 MAY-22 JUN-22 6 Debt-Service Coverage Ratio —Target 34 CLAY COUNTY UTILITY AUTHORITY OPERATING RATIO 74% 72% 72% 70% 68% 67% 66% 65% 65% 65% 65% 6%65% 65%65%64% 64% 64% 62% 62% 60% 58% 56% SEP-19 SEP-20 SEP-21 OCT-21 NOV-21 DEC-21 JAN-22 FEB-22 MAR-22 APR-22 MAY-22 JUN-22 IIN -Operating Ratio(%) -Target CURRENT RATIO 6.00 - -- 5.39 5.00 5.15 .22 5.13 4.94 4.91-"mow INEW 4.73 4.67 4.38 4.51 4.00 4.20 3.39 3.00 t0 2.00 2.00 1.00 0.00 • . . SEP-19 SEP-20 SEP-21 OCT-21 NOV-21 DEC-21 JAN-22 FEB-22 MAR-22 APR-22 MAY-22 JUN-22 LCurrent Ratio Target RETURN ON ASSETS 6.0% 5.2% 4.6% 4.6% 4.6% I 4.4% 4.4% 4.5% 4.5% 4.6% 5.0% 4.`o I I 4.0% 3.0% - 2.2% 2.0% 1.0% 0.0% SEP-19 SEP-20 SEP-21 OCT-21 NOV-21 DEC-21 JAN-22 FEB-22 MAR-22 APR-22 MAY-22 JUN-22 +Return on Assets(%) -Target 35