HomeMy WebLinkAboutEDB 2022-2023 Tenative Budget all pages `vzi COUn,J` Clay County Utility Authority Working together to
3176 Old Jennings Road protect public health,
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our ratepayers.
July 27, 2022
Clay County Utility Authority
Board of Supervisors
Re: 2022/2023 Budget
I have attached the tentative budgets for fiscal year 2022/2023. The following tentative budgets for fiscal year
2022/2023, needs to be tentatively approved:
2022/2023 Operating Budget
2022/2023 Self Insurance Budget
2022/2023 Departmental Capital Budget (Sub budget of Capital Budget)
2022/2023 Capital Budget and Five-Year Plan
a)
as 2022/2023 Budget and Rate Advertisements
0
4—
The following is a timetable for our 2022/2023 Budget adoption:
August 2, 2022—Approve Tentative Budget
August 11, 2022- Publish Rate Hearing advertisement,tentative budget and rate in the Clay Today.
August 18, 2022- Publish Rate Hearing advertisement,tentative budget and rate in the Clay Today.
August 19,2022-The Authority is required to send to Clay, Bradford, and Duval County our tentative
budget 30 days prior to final adoption along with our 5-year capital plan per our enabling legislation.
September 13,2022—Public Rate Hearing at 7pm.
September 20,2022—Final Adoption.
Rate payers are also being notified of the upcoming Public Hearing through paper bills, online customer page,
Twitter feeds and posted signs in the Customer Service windows and the lobby. The website will be updated to
provide budget information once the Tentative Budget is accepted.
Thank you,
Jeffrey Wesselman, Chief Financial Officer
CLAY COUNTY UTILITY AUTHORITY
2022/2023 PROPOSED OPERATING BUDGET
Revenues:
Water Revenue 19,537,747
Sewer Revenue 30,970,932
Reclaimed Revenue 5,576,935
Connection Fees,AWS&DEP Grants 7,575,124
Miscellaneous Revenue 2,084,210
Capital Fund-Const.Dept.Labor,OH,&Equipment 527,493
Interest-Restricted 2,335
Interest-Non Restricted 584,214
Total Revenues $66,858,990
Expenditures:
Budget Carryforward ($589,667)
Debt Service-Interest 1,920,828
Debt Service-Principal _ 7,317,257
Debt Service-Stabilization -
Restricted Interest Income 2,335
Renewal&Replacement Fund 2,615,873
Environmental Reuse Capital Fund 1,211,727
Connection Fee Fund,AWS&DEP Grants 7,575,124
Departmental Capital Fund 1,386,263
Capital Reserve 1,224,600
Total Debt and Capital Expenditures $22,664,340
Operation Expenses:
Wages $13,989,746
Capitalized Wages ($569,540)
Health Insurance 2,634,823
Retirement 1,419,769
Licenses, Education,&Uniforms 351,725
Payroll Taxes 994,120
Workers Compensation ins. 192,277
[O General Liability&Property Insurance 966,619
Transportation Expense 723,366
Rental Space 49,706
Communication Expense 524,779
Electric&Fuel-W/P 744,000
Electric&Fuel-L/S 440,000
Electric&Fuel-STP 1,466,000
Electric&Fuel-Office 39,374
Chemicals Water 233,400
Chemicals Sewer 950,000
Supplies-Water 1,839,615
Supplies-Sewage 1,240,684
Supplies Office 619,841
Software 992,754
Engineering Expense 386,000
Legal Expense 537,126
Audit Expense 34,000
Subcontractors-Water 802,552
Subcontractors-Water Testing 108,000
Subcontractors-Sewage 1,108,929
Subcontractors-Sewage Testing 190,500
Subcontractors AWS -
Subcontractors General 3,791,033
Sludge Removal&Treatment 2,684,753
Bad Debt Expense 500
Miscellaneous 565,076
1 Contingency 1,039,583
Board Of Directors Compensation 52,194
Due in Lieu of Taxes 2,523,853
Total Operation Expenses $43,667,157
CLAY COUNTY UTILITY AUTHORITY
2022/2023 PROPOSED OPERATING BUDGET
Construction Department Expenses:
Wages $176,341
Health Insurance 34,686
Retirement 17,343
Payroll Taxes 13,267
Workers'Compensation Insurance 6,605
Property/Liability Insurance 54,000
Equipment Fuel, Repairs&Maintenance 30,000
Field Supplies&Small Tools 10,000
Office Supplies _ 250
Material&Subcontractors 2,100
Miscellaneous Expenses&Employee Training 33,184
Contingency Reserve 45,333
Depreciation 104,385
Total Construction Department Costs 527,493
Total Expenditures $66,858,990
(OVER)UNDER BUDGET ($0)
to
Clay County Utility Authority
2022/2023 Proposed Self Insurance Fund Budget
TOTAL SELF
INSURANCE
FUND
FUND BALANCE:
Sewer Backup $ 500,000
Unemployment 25,000
Fund Balance, Estimated as of October 1, 2022 $ 525,000
EXPENDITURES:
Expenditures will be Board Approved per Occurrence
Total Expenditures $ -
Fund Balance September 30, 2023 $ 525,000
to
Clay County Utility Authority
Proposed Departmental Capital Budget
FY 2022-2023
Description Total Budget
Water Treatment
Toyota Forklift $ 36,000.00
Pole Barn $ 15,000.00
Portable Gas/hydraulic valve exerciser $ 13,000.00
Diesel Generator w/GFCI $ 17,500.00
$ 81,500.00
Wastewater Treatment
Pro-turn-260-27hp Kawasaki-60inch Mower $ 9,804.60
Replace Roof-Storage Building Miller WWTP $ 10,000.00
Hauler 800xgas yard cart $ 8,774.00
$ 28,578.60
Distribution&Collection
DPH-3B Hydrostatic Test Pump $ 5,000.00
Dri-Prime CD150S Pump Trailer Mounted $ 55,000.00
(3)Ground Penetrating Radars $ 60,000.00
908 Front End Loader $ 128,000.00
289D3 Skid Steer $ 122,000.00
GMC Sierra 2500 Crew Cab $ 52,000.00
Chevrolet Silverado 3500 Dually with Work Body $ 52,000.00
Chevrolet Silverado 2500 4X4 Work Body $ 51,000.00
$ 525,000.00
GIS None
Customer Service Public Relations None
to Construction
Caterpillar Mini Excavator 305D $ 65,000.00
$ 65,000.00
Service Availability None
IT
VDI Server Graphics Cards $ 62,000.00
VDI Server Expansion $ 157,000.00
Cannon Color Plotter TX-4100 $ 14,000.00
Cannon Model IT Advance IR6555 $ 10,000.00
$ 243,000.00
Facility Management
Security System Expansion $ 10,000.00
CCTV System Expansion $ 12,000.00
Fleet Vehicle $ 35,000.00
Facilities/Fleet Vehicle $ 45,000.00
Lucy Branch Roof Replacement $ 20,000.00
Lucy Branch Fence Replacement $ 15,000.00
$ 137,000.00
Inventory
JH 4,500 lb.36 Volt Pantograph Single Reach Truck $ 56,184.48
$ 56,184.48
Construction and Inspection Services None
Engineering None
Master Departmental Capital Contingency $ 250,000.00
Total Department Budgets $ 1,386,263.08
Clay County Utility Authority
2022/2023 Capital Projects Expenditures Budget
And Five Year Capital Projects Plan
Adjusted for Prior Year Jobs Not Completed as of 3/31/2022 ADJUSTED
FISCAL YEAR Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year
2021/2022 2022/2023 2023/2024 2024/2025 2025/2026 2026/2027 TOTALS
REVENUES:
Balance October 1,2021,to include Transfers 138,289,659 138,289,659
Funds Spent on Jobs Prior to FY 2020/2021 (34,594,874) (34,594,874)
Renewal,Replacement&Betterment 2,414,518 2,615,873 2,694,349 2,775,179 2,858,434 2,944,187 16,302,540
Departmental Capital Transfer 1,052,400 1,052,400 1,000,000 1,000 000 1,000 000 1,000 000 6,104,800
Environmental Reuse Capital Fund Transfer 1,140,408 1,236,218 1,248,580 1,261,066 1,273,677 1,286,413 7,446,362
Capacity Fees Transfer 4,078,314 4,079,570 4,283,549 4,497,726 4,722,612 4,958,743 26,620,513
Grant Revenue 1,500,000 1,500,000 1,500,000 1,500,000 1,500,000 1,500,000 9,000,000
Alternative Water Supply Transfer 688,309 721,747 743,399 765,701 788,672 812,333 4,520,162
Debt Service Charge 200,400 200,400 200,400 200,400 200,400 200,400 1,202,400
Surplus Transfer(Operating Contingency Utility&Capital Reserve,includes add'l R&R) 3,416,509 3,775,457 4,009,994 4,130 294 4,254,203 4,381,829 23,968,285
Restricted Interest Earnings 5,120 2,285 5,000 5,000 5,000 5,000 27,405
Borrowing Utilization of Surplus Funds if needed (83,862,187) 110,010 804 63,749,347 21,619,012 18,849,147 (689,044) 129,677,079
Balances After Transfers 34,328,576 125,194,754 79,434,618 37,754,378 35,452,145 16,399,860 328,564,332
CAPITAL EXPENDITURES:
RENEWAL,REPLACEMENT&BETTERMENT
Departmental Capital 1,260 674.43 1,386,263.08 1,250 000.00 1,250 000.00 1,250 000.00 1,250,000.00 7,646,937.51
Knight Boxx/Old Jennings Force Main Extension 9,114.95 450 000.00 459,114.95
Lucy Branch Maintenance Building Repairs and Renovations 10,739.84 109,260.16 120,000.00
Rehab SP WW Clarifer#1/under drain 1-2 64,176.20 1,485,000.00 248,430.00 1,797,606.20
Lake Asbury WM Improvements(602 Lake Asbury Road&Aldersgate St.) 0.00 170,000.00 1,530 000.00 1,700,000.00
Wesley RD WM Improvements(Branscomb Road to Arthur Moore Drive) 0.00 200 000.00 1,800 000.00 2,000,000.00
Server Lifecycle Replacement 1,925,000.00 1,925,000.00
ERP Software Replacement 1,400 000.00 1,400,000.00
SCADA System 0.00 1,260 048.00 698,158.00 1,146,178.00 1,146,178.00 1,146,178.00 5,396,740.00
Meadowbrook WTP Upgrades-(GST#3 repair,Transfer switch,GST#2 roof repair,Aerator repair,n 82,308.00 2,000 000.00 1,917,692.00 4,000,000.00
Meadowbrook Well Rehab 16,895.00 350,000.00 366,895.00
Miller St.WWTP Upgrades(Complete Paving of Loop Road,Refurbish Influent Structure(Exterior),r 0.00 640,500.00 640,500.00
Ridgecrest WTP-Replace Softstart&Crossline Starters with VFD's 1,070 654.00 940,574.00 2,011,228.00
Ridaught WTP-Phase I GST Upgrades 70,000.00 802,000.00 872,000.00
Ridaught WRF Upgrades(Install Micro-screen,Grit Removal Equipment,and Influent,Rehabilitiation 262,000.00 2,625,000.00 1,000,000.00 3,887,000.00
12"Main Connecting Postmaters WTP to Geneva Lakes WTP along CR214 793,800.00 793,800.00 1,587,600.00
12"WM Extension Hwy.100 to Brooklyn Bay Rd.(Keystone) 705,000.00 705,000.00
6"WM Extension Woodland Dr.to Payne Rd.via SR21 305,000.00 305,000.00
Booster Station(Hwy.100 @ Commercial Dr.-Keystone) 41,000.00 41,000.00
Keystone Heights-Lakeside Street/Hilltop Street Water Main Rehabilitation 0.00 237,600.00 237,600.00
Keystone Wastewater Treatment Plant-Phase II Construction 0.00 7,150,000.00 7,150,000.00
Fleming Oaks WTP Electrical Upgrades&Hydro Tank 190,000.00 544,910.00 348,000.00 1,082,910.00
Pace Island WTP:Electrical&Hydro Tank Upgrades(Replace Hydrotank Tank#1 and Electrical) 220 000.00 544,910.00 348,000.00 1,112,910.00
Old Jennings WTP Electrical Upgrade 250,000.00 500 000.00 450 000.00 1,200,000.00
Spencer's WTP Electrical Upgrade _ 39,291.00 244,910.00 148,000.00 432,201.00
Tanglewood Electrical Upgrade 35,325.00 221,114.00 132,136.00 388,575.00
Orange Park South Electrical Upgrade 87,276.00 532,820.00 339,940.00 960,036.00
Fleming island WRF electrical upgrades Nault upgrades 296,171.00 1,786,190.00 1,175,520.00 3,257,881.00
Miller WRF Electrical Upgrades 125,005.00 832,824.00 539,942.00 1,497,771.00
Ridaught WRF Electrical Upgrades 233,291.00 1,408,910.00 924,000.00 2,566,201.00
Spencer's WRF Electrical Upgrades 90,491.00 552,110.00 352,800.00 995,401.00
Oakleaf WTP Electrical Upgrades 34,291.00 342,910.00 377,201.00
Rehab PS 4 800,000.00 800,000.00
Rehab PS 62,Manifold 67 320,000.00 1,000,000.00 1,320,000.00
Upgrade Lift Stations 11,41,69,51 542,000.00 542,000.00 1,000,000.00 1,000,000.00 3,084,000.00
Upgrade Lift Station 98 542,000.00 542,000.00
Upgrade Lift Stations 9,43,24,59 542,000.00 542,000.00 1,000,000.00 2,084,000.00
Tab 14-1/3
Clay County Utility Authority
2022/2023 Capital Projects Expenditures Budget
And Five Year Capital Projects Plan
Adjusted for Prior Year Jobs Not Completed as of 3/31/2022 ADJUSTED
FISCAL YEAR Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year
2021/2022 2022/2023 2023/2024 2024/2025 2025/2026 2026/2027 TOTALS
Upgrade Lift Station 111 542,000.00 542,000.00 1,084,000.00
Upgrade Lift Station 56 125,000.00 1,000,000.00 1,125,000.00
Lift Station#2-Upgrade 125,468.60 2,822,677.56 2,948,146.16
Lift Station#3 Foxbay-Upgrade 36,297.00 849,703.00 886,000.00
WTP Ground Storage Tanks:add Handrails 576,000.00 576,000.00
Fleming WRF Clarifier No.1 Upgrade 300,000.00 908,000.00 1,208,000.00
Water Plant Meters Retrofits 0.00 108,000.00 300,000.00 300,000.00 300,000.00 300,000.00 1,308,000.00
Gravity Sewer Lining 300,594.25 1,000,000.00 1,000,000.00 1,000,000.00 1,000,000.00 1,000,000.00 5,300,594.25
Lift Station Generators 57,822.13 330,000.00 387,822.13
Lift Station Bypass Pump 200,000.00 200,000.00
Keystone Heights High School WM relocation 143,000.00 143,000.00
Manhole Rehab 150,000.00 150,000.00 150,000.00 150,000.00 150,000.00 750,000.00
FH and Gate Valve replacement 105,000.00 210,000.00 210,000.00 210,000.00 210,000.00 945,000.00
Potable and Reclaimed Water Meter and backflow device replacement 761,250.00 1,600 000.00 1,650 000.00 1,700 000.00 1,750 000.00 7,461,250.00
SYSTEM EXPANSION
Governor's Park WTP Design and Build 200 000.00 4,925,000.00 3,700 000.00 625,000.00 9,450,000.00
Meadow Lake WTP-New Ground Storage Tank and Electrical Service upgrade 1,985,331.00 1,163,793.00 3,149,124.00
Saratoga Spring WTP,WRF&offsite Mains 7,000,000.00 9,591,000.00 16,591,000.00
Mid Clay WWTP-Phase II Plant Expansion 4,500,000.00 2,750,000.00 7,250,000.00
Fleming Island Reg.WWTP-2nd BCR Plant,Two Tanks 3,900,000.00 3,300,000.00 7,200,000.00
Doctors'Lake Septic to Sewer Phase II 1,883,333.00 316,667.00 2,200,000.00
CCUA Storage Building and Site Improvements 2,373,708.00 1,539,608.00 3,913,316.00
CCUA Administrative Building Phase I 125,089.00 4,000,000.00 4,125,089.00
CCUA Administrative Building Phase II 0.00 350,000.00 3,950,000.00 4,300,000.00
North Campus Driveway 36,341.00 750,000.00 786,341.00
Aquarius Concourse Relocation Utility Relocations 1,948,637.00 195,000.00 2,143,637.00
North Middleburg Water&Sewer Extension and Interconnection(Water Interconnect,Forcemain exte 400,000.00 2,600,000.00 3,000,000.00
Infill Projects 1,261,678.98 100,000.00 100,000.00 100,000.00 100,000.00 100,000.00 1,761,678.98
Henley Road 12"WM Loop-Sandridge to Small Lake 11,241.94 94,758.06 106,000.00
Peters Creek WTP Well 3&2nd GST 150,000.00 2,900,000.00 2,000,000.00 5,050,000.00
Peters Creek W WTP-Land Acquisition 0.00 3,000,000.00 3,000,000.00
Peters Creek WRF-Phase II 2,290,025.00 24,181,127.00 17,068,959.00 279,429.00 43,819,540.00
Pier Station E/W WM Extension and Interconnect(State Road 16 and FCOB) 0.00 2,000,000.00 1,000,000.00 3,000,000.00
Pier Station Force Main Extensions(State Road 16 and FCOB) 0.00 1,000,000.00 1,200,000.00 2,200,000.00
Pier Station Master Pump Station(State Road 16 and FCOB) 0.00 1,000,000.00 1,000,000.00
Pier Station WTP Expansion 0.00 3,000,000.00 3,000,000.00 6,000,000.00
Ravines to Henly Road Water Main Extension 250,000.00 2,000,000.00 390,000.00 2,640,000.00
Ravines WTP 2nd GST 0.00 750,000.00 750,000.00
Spencer's WWTP:Phase 6 Expansion 0.00 750,000.00 5,500,000.00 6,250,000.00
Spencers WTP-Ground Storage&High Service Pump 0.00 565,000.00 1,000,000.00 1,565,000.00
Water System Interconnects-Misc 0.00 675,000.00 675,000.00
Longbay Rd.Master Pump Station and Force Main 0.00 200,000.00 500,000.00 500,000.00 1,200,000.00
Swimming Penn Creek WM Interconnect 250,000.00 2,000,000.00 1,000,000.00 3,250,000.00
Sandridge Parallel Sewer FM(PS#110 to RVZ Park via Creekview Tr.—5,000 LF 1,000,000.00 200,000.00 1,200,000.00
Reinhold Projects E/W interconnect#1 (W,WW&Reclaimed Mains from FCE interchange along we: 3,000,000.00 3,000,000.00 6,000,000.00
Reinhold Projects E/W interconnect #2(W,WW&Reclaimed Mains along FC Connector East of int, 2,000,000.00 2,500,000.00 2,500,000.00 2,500,000.00 2,500,000.00 12,000,000.00
Reinhold Projects N/S interconnect#1 Saratoga WM to West of 1st Coast Expressway(11,200 if 18-in 3,700,000.00 3,700,000.00 7,400,000.00
Reinhold Projects N/S interconnect#2(W&Reclaimed Mains from Saratoga WTP to 1st Coast Conn( 2,200,000.00 2,200,000.00 4,400,000.00
16-inch WM Challenger Dr Interconnect to Atlantis dr.-Atlantis to Brannan mill(2-Segments) 1,000,000.00 1,000,000.00 2,000,000.00
16-inch WM Atlantis to Kindlewood 500,000.00 1,500,000.00 2,000,000.00
Upsizing pipes to accommodate Rookery GCS 466,000.00 466,000.00
FDOT 447180-1:US 17 from Eagle Harbor to Doctors Inlet Bridge 310,000.00 310,000.00
FDOT 443302-1:SR15(US17)From Water Oak Lane to Eagle Harbor Parkway 90,000.00 90,000.00
Tab 14-2/3
Clay County Utility Authority
2022/2023 Capital Projects Expenditures Budget
And Five Year Capital Projects Plan
Adjusted for Prior Year Jobs Not Completed as of 3/31/2022 ADJUSTED
FISCAL YEAR Fiscal Year Fiscal Year Fiscal Year Fiscal Year Fiscal Year
2021/2022 2022/2023 2023/2024 2024/2025 2025/2026 2026/2027 TOTALS
CR-220 at Old Hard Rd.Intersection 410,000.00 410,000.00
Tanglewood Neighborhood Water Main Relocations 85,000.00 85,000.00
Habitat Drive Water Main Relocations 265,000.00 265,000.00
CR 218 widening from Pine Tree Lane to Cosmos 425,000.00 250,000.00 250,000.00 925,000.00
Sandridge Road widening from Henley to CR 209 40,000.00 40,000.00 80,000.00
CR 220 widening Baxley to Henley Rd 75,000.00 175,000.00 250,000.00
CR 220 widening from Henley to Knightbox 50,000.00 100,000.00 150,000.00
CR 315 widening-Utility Relocation(design FY 23 construct FY 24) 922,000.00 922,000.00
CR220 Quadrant Intersection 578,000.00 578,000.00
College Drive RRR 0.00 200 000.00 200,000.00
ALTERNATIVE WATER SUPPLY -
AMI Demand Management 750,000.00 750,000.00 1,500,000.00
Onsite Stormwater Harvesting 330 000.00 2,550 000.00 2,880,000.00
Irrigation CUP 510,000.00 510,000.00
Public Access Reuse Storage 2,042,000.00 3,242,000.00 3,301,000.00 1,693,000.00 1,628,000.00 11,906,000.00
Purified Water Pilot Study 319,000.00 4,450,000.00 750,000.00 5,519,000.00
Subtotals 31,207,796.32 113,813,412.80 72,213,289.06 34,322,162.00 32,229,223.00 14,908,964.00 298,694,847.18
Contingency 3,120,779.63 11,381,341.28 7,221,328.91 3,432,216.20 3,222,922.30 1,490,896.40 29,869,484.72
TOTAL CAPITAL EXPENDITURES 34,328,575.95 125,194,754.08 79,434,617.97 37,754,378.20 35,452,145.30 16,399,860.40 328,564,331.90
Capital Expenditures Breakdown:
Renewal,Replacement&Betterment 6,787,524 35,038,893 26,186,234 17,998,949 22,709,145 11,421,860 120,142,606
System Expansion 27,222,052 83,153,861 48,926,384 13,154,429 10,300,000 3,350,000 186,106,726
Altemative Water Supply 319,000 7,002,000 4,322,000 6,601,000 2,443,000 1,628,000 22,315,000
34,328,576 125,194,754 79,434,618 37,754,378 35,452,145 16,399,860 328,564,332
Tab 14-3/3
NOTICE OF
PUBLIC HEARING
The Clay County Utility Authority has tentatively adopted a budget for Fiscal Year 2022/2023. A public
hearing will be held on Tuesday, September 13, 2022 at 7:00 p.m. in the Clay County Utility Authority Board
Room, 3176 Old Jennings Road, Middleburg, Florida.
BUDGET SUMMARY
CLAY COUNTY UTILITY AUTHORITY
PROPOSED BUDGET FOR 2022/2023
Operating Capital Self Insurance Total Fund
Fund Fund Fund Budget
Revenues:
Projected Cash at October 1, 2022 $ 2,000,000 $ 79,753,659 $ 525,000 $ 82,278,659
Water&Sewer Revenue 63,660,738 63,660,738
Miscellaneous Revenue/Borrowing 3,198,252 34,000,000 37,198,252
Fund Transfers 13,426,255 13,426,255
Total Revenues $ 63,353,990 $ 127,179,914 $ 525,000 $ 196,563,904
Expenditures:
Debt Service $ 9,238,085 $ - $ - $ 9,238,085
Fund Transfers 13,426,255 13,426,255
Operation Expenses 41,670,797 41,670,797
Due in Lieu of Taxes 2,523,853 2,523,853
Capital Projects 125,194,754 125,194,754
Projected Cash at September 30, 2023 2,000,000 1,985,160 525,000 4,510,160
Total Expenditures $ 68,353,990 $ 127,179,914 $ 525,000 $ 196,563,904
Additional information on the proposed budget is available at www.clayutility.org/rates or you can come
to the office of the Clay County Utility Authority at 3176 Old Jennings Road, Middleburg, Florida, Monday
through Friday 8:00 a.m. to 5:00 p.m. except legal holidays.
Following the public hearing, which may be adjourned from time to time, The Board of Supervisors may
adopt or modify the proposed budget.
In accordance with the Americans with Disabilities Act, any person needing a special accommodation to
participate in this matter, should contact the Clay County Utility Authority by mail at 3176 Old Jennings Road,
Middleburg, Florida 32068 or by telephone at(904)272-5999 x 2464, no later than 7 days prior to the hearing or
proceeding for which this notice has been given. Those requiring auditory assistance can access the foregoing
telephone number by contacting the Florida Relay service at 1-800-955-8770(Voice) or 1-800-955-8771 (TDD).
If any person intends to appeal any decision related to this action, such person will need to provide a court
reporter at such person's own expense, for a transcript of the proceedings. All interested persons are invited to
attend.
CLAY COUNTY UTILITY AUTHORITY
Jeremy Johnston, Executive Director
LEGAL NOTICE
NOTICE OF PUBLIC HEARING TO CONSIDER THE ADOPTION OF A PROPOSED RESOLUTION AMENDING CERTAIN RATES AND CHARGES FOR THE CLAY COUNTY UTILITY AUTHORITY.
The Clay County Utility Authority("CCUA")will hold a Public Heating on Tuesday,September 14,2022,at 7:00 PM,m the Clay County Ubhty Authority's Board Room,located at 3176 Old lennmgs Road,Middleburg,Florida,for the
purpose ofrecetving public comment coocemmg the adopnoa of the 2022/2023 budgets.
Note All service rates are staled as monthly rates Proposed 2%mcrease to all Base and Consumption charges except Water Consumption over 6,000 gallons mcrmse of 20%All changes noted below
SYSTEM BASE CHARGES: Water Wastewater Reuse
Meter Size
1" $2577 a5/8"x3/4" $11.36 9
3/4" $35.37$17.1 $64.43
18.64 S15.82
$42.97
1&1/2" $28.48 $2 $85.96$56.91
2" $91.11fi $206.20 $137.51
3" $182.08 $412.42 $275.00
4" $284.52 $644.19 $429.70
6" $569.03 $1,286.39 $859.38
8" $910.45 $2,061.94 $1,375.02
10" $1,308.78 $2 962.91 $1,976.60
12" $2,444.90 $5,539.75 63,694A9
"Residential Wastewater will be charged the same rate regardless of meter size
WATER SURCHARGES:
Altematwe Water Supply Surcharge-Per Monthly Water Bdl $1.15
SIRWMD Black Creek Water Resource Development Project Surcharge $1.09
CONSUMPTION CHARGES(based on 30 days):
Water System Consumption Rates:
Residential Service::
Foal 6,000 gallons $1.57
Next 6,000 gallons $4.66
Next 6,000 gallons $6.04
All usage over 18,000 gallons $7.74
Note Consumption charge per 1,000 gallons with allowance per meter equivalent ERC
General Service:
All consumption per 1,000 gallons(Excluding Potable Irtigatlon Meters) $2.35
General Service:
Potable Irrigation Metered Services
Foal 10,000 gallons $1.57
Next 15,000 gallons $4.66
Next 25,000 gallons $6.04
All usage over 50,000 gallons $7.74
Note Consumption charge per 1,000 gallons with allowance per meter equivalent ERC
Wastewater System Consumption Rates:
Residential Service:
All Meter Sizes(10,000 gallon cap) $3.85
Unmetered Rat Rate $55.36
Mullcfamtly Unmelered per Unit $43.58
Note Where reclaimed water is available the cap for residential wastewater usage will not apply
General Service:
Consumption charge per 1,000 gallons of metered water,no cap $4.69
Reclaimed Water Consumption Rates:
Residential and General Service:
Fall 15,000 gallons $0.85
Next 5,000 gallons $1.66
All usage over 20,000 gallons $2.51
Note Consumption charge per 1,000 gallons with allowance per meter equivalent ERC
CUSTOMER DEPOSIT:(per ERC)
Security D posit Amount Water Wastewater Reuse
Intl Deposn $25.00 $50.00 $25.00
Intl Deposn for Customers Without SSN $50.00 $100.00 $50.00
Annual Interest Rate of 0 14%will be paid on deposit held at least 6 months
Note:A security deposit is mquIred for all new accounts mcludmg transfers and existing accounts that become delmquent and requne a field visit.An additional deposit will be required for
accounts that are disconnected twice m one 12 month period
SERVICE CHARGES&MISCELLANEOUS FEES:
After Hours Prepayment for New Service 5225.00
Same Day Sanwa Charge and After Hours Premse V i:t Surcharge(Normal Hours 8 AM to 5 PM,M-F) $30.00
Insal Connection,Premise Visrt Charge,Normal Reconnection,Reconnection due to Repea,and 2nd Trip $30.00
Special Meter Rereads,Hydrant Reading Charge and Back low Test Final Notice $30.00
Nonpayment Charge Before 4:00 PM,Monday-Friday $30.00
Nonpayment Charge After 4:00 PM and before 9:00 PM,Monday-Friday $85.00
Nonpayment Charge on Weekends and Holidays $105.00
Nonpayment Charge Flat Rate Sewer Account $70.00
Late Notice Charge $3.00
Returned Check Charge an $30.00
Hydrant Meter:Application Set Up,Relocation Charge, d Pee to Replace Cut Meter Lock $30.00
Meter Inspection Fee for New Meter Installations $30.00
Meter Testmg Charge(5/8"x3/4"&3/4") (1"&Above Meters:Actual Cost) $65.00
Meter Reset Fee $115.00
Meter Tampering Charge $50.00
Replacement of Broken Curb Stop $70.00
Lien Charge(Charge does not include any recording costs,additional collection fees or attorney Res) $120.00
Violation Reconnection $30.00
Monthly Hydrant Base Charge(plus water at metered rates) $89.54
Hydrant Meter Deport per Hydrant Polley $500.00 to$1,100.00
Hydrant Meter One-Time Fill at CCUA Male Office(plus water at metered rates) 550.00
Waste Disposal Deposit per Septage Haulers Disposal Deposit Policy
Budding Water Monthly Charge All Systems(Uri-meta'ed used during construction) $64.49
Wholesale Reclaimed Water Usage Charge Per 1,000 Gallons so as
Waste Disposal From Portable Toilets,Septic Tanks,and Landfill Lechate at Sewage Treatment Plant Per t,000 coots $99.74
Processmg fees to CCUA for Potable Potable Water(POI water supply)Drshrbuhon and Transmission System Permits $250.00
Processmg f to CCUA for Domestic Wastewater Collecbon/Transmissmn System Pennns $250.00
Processmg f to CCUA for Permit Modifications $50.00
Energy Surcharge(to be assessed based on a formula)when actual energy sensitive operating expenses exceed budgeted energy sensitive expenses
Account collection fees and/or costs Incurred by CCUA m the course ofcolleaing delinquent balances,which maybe based on a percentage at a maxwum of40%of the debt,and all costs and expenses,including reasonable
attorneys'fed,which CCUA mans in such colleamn efforts,will be paid,m addition to the origmal balance due,by the customer responsible for the delinquent balance.
SERVICE AVAILABILITY CHARGES:
Water Capacity Charge Per ERC S360.00
Altematrve Water Supply Charge Per ERC 5376.71
SIRWMD Black Creek Water Resource Development Pr ject Cowecbon Charge Per ERC 8108.7
Wastewater Capacity Charge Per ERC excluding Keystone included m FDEP Grant SG481030 and LP0512 $3,200.00
Reclaimed Water Capacity Charge Per ERC For Developments with Reclained Water Piping Systems $300.00
Surcharge for Development of Reclaimed Program(Applicable To All Developments That Do Not Install Reclaimed Piping Systems) $410.00
Debt Service Charge Per ERC $749.00
Fire Protection-Imtinl Charge(Per Gallons Per Minute"GPM"Flow) $15.81
Inspection,Plan Review,As-built Drafting,and Recordmg Fed Actual Cost
Potable Water Meter,with Backilow Device(5/8"x3/4"Meter with other sizes at cost)Includes Meter Box $433.39
Reclaimed Water Meter(5/8"x3/4"Meter with other sizes at coat)Developments with Reclaimed Water Prpmg Systems&Includes Meter Box $384.98
As defined in Rate Resolution:
Supplemental Developer Agreement Adrnivis[mbve Charge $100.00
Financed Developer Agreement Admmrstrabve Charge $100.00
Hex Space Meter Audit(2nd and subsequent tnpa)-$50.00,plus$75.00,per hour m excess of.75 hours per trip
Master Meter Violation Charge,where applicable $500.00
Carrying Charge for Middleburg Service Area Policy and Infra Policy 2.19
Finance Charge 2.60%
Middleburg Service Area Development Policy-Distribution and Collection Infrastructure Charge Per Acre
Water $5,637.00
Wastewater $10,798.00
Additional mfotmation on the proposed mud,charges,and fees Is available for mspecbon m the office of the Clay County Utility Authority at 3176 Old lennmgs Road,Middleburg,Ronda,Monday through Friday,8:00 AM to 5:00
PM,except legal holidays Followmg the Pubhc Hearing,which may be adjourned from time to time,the Board of Supervisors may adopt or modify the proposed rates,charges,and fees
In accordance wnh the Americans With Disabilities Act,any person needing special accommodation to participate m this matter,should contact the Clay County Utdrty Authority by mad at 3176 Old Jennmgs Road Middleburg,Ronda
32068-3907,or by telephone at(904)272-5999,extension 2464,no later than 7 days poor to the heawg or proceeding for whIch this nonce has been given Those requiring audnory assistance can access the foregomg telephone
number by contaotmg the Florida Relay Service at 1-800-955-8770(Voice),or 1-800-955-8771(TDD).
If any person mtends to appeal any decision related to this action,such person will neat to provide a court reporter at such person's own expense,fora transcript of the proceedings.All mterested persons are invited to attend.
CLAY COUNTY UTILITY AUTHORITY
Jeremy Johnston,Executive Drector