Actual YTD Projected Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget
RESOURCES 2009 2010^ 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 TOTAL
 Infrastructure Sales Tax - CI Reserve  $1,889,133 $1,145,231 $3,440,000 $3,518,800 $3,599,176 $3,681,160 $3,764,783 $3,850,078 $3,937,080 $4,025,822 $4,116,338 $1,461,944 $37,284,313  
 Interest           
 Infrastructure Sales Tax - Equip Reserve  $500,000 $166,666 $500,000 $500,000 $500,000 $500,000 $500,000 $500,000 $500,000 $500,000 $500,000 $500,000 $5,500,000  
 Interest           
Total Revenue $2,389,133 $1,311,897 $3,940,000 $4,018,800 $4,099,176 $4,181,160 $4,264,783 $4,350,078 $4,437,080 $4,525,822 $4,616,338 $1,961,944 $42,784,313  
           
  Actual YTD Projected Budget Budget Budget Budget Budget Budget Budget Budget Budget Budget Needed From
SALE TAX EXPENSES (total proj. cost) 2009 2010^ 2010* 2011* 2012* 2013* 2014* 2015* 2016* 2017* 2018* 2019* TOTAL* other sources**
Residential Street Maintenance - ($5,000,000) $280,888   $500,000 $500,000 $500,000 $500,000 $500,000 $500,000 $500,000 $500,000 $500,000 $210,000 $4,990,888 $9,112  
Fire Apparatus        
Ladder 2 - ($1,205,591)     $500,000   $705,591  
Engine 6 - ($651,065)     $500,000   $151,065  
Quint 6 - ($973,236)       $500,000   $473,236  
Quint 3 - ($998,191)       $250,000   $748,191  
Hazmat 5 - ($750,000)       $250,000       $500,000  
Quint 7 - ($1,106,329)         $500,000   $606,329  
Quint 5 - ($1,081,374)       $500,000       $581,374  
Ladder 5 - ($1,688,298)       $1,000,000   $688,298  
Tender 1 - ($600,000)       $500,000     $100,000  
Quint 1 - ($1,247,739)         $500,000     $747,739  
Total Fire Apparatus           $5,000,000 $5,301,823  
Burroughs Creek -($350,000) $176,368 $173,632 $173,632                   $350,000 $0  
Kasold - 23rd to 31st - ($6,500,000)             $1,000,000 STP
          Engineering  $250,740 $195,948 $189,260         $50,000 Utilities
          R/W      $10,000          
          Construction        $5,000,000       $5,450,000 $1,050,000  
 5th and Maple Pump Station - ($5,000,000)                               
          Engineering        $400,000      
          R/W      $100,000   $100,000      
          Construction            $2,400,000 $2,000,000           $5,000,000 $0  
 Iowa - Harvard to Irving Hill Road Overpass -($6,050,000)            $3,000,000 STP
          Engineering      $400,000         $800,000 Safety
          R/W        $150,000       $1,250,000 CIP
          Construction          $450,000       $1,000,000 $5,050,000
 BBP - Crestline to Kasold - ($3,483,000)                           
          Engineering          $300,000          
          R/W          $23,000          
          Construction            $2,900,000           $3,223,000 $260,000 Utilities
 Wakarusa - BBP to 18th - ($3,150,000)                               
          Engineering                 
          R/W          $25,000        
          Construction              $2,700,000         $2,725,000 $425,000 Utilities
 19th - Iowa to Naismith -($3,885,500)                               
          Engineering          $350,000      
          R/W          $25,500      
          Construction                $2,200,000 $1,000,000       $3,575,500 $310,000 Utilities
 Kasold - Harvard to BBP - ($4,922,000)                               
          Engineering              $420,000      
          R/W              $42,000      
          Construction                    $3,000,000 $1,100,000   $4,562,000 $360,000 Utilities
 Wakarusa - BBP to Legends - (4,663,000)                               
          Engineering              $300,000      
          R/W              $23,000      
          Construction                      $2,000,000 $2,100,000 $4,423,000 $240,000 Utilities
 BBP - Iowa to Crestline ($5,105,000)                     
          Engineering              $400,000      
          R/W              $10,000      
          Construction - Phase I                $2,000,000 $2,410,000 $2,695,000  
Total Expenses from Infrastructure Sales Tax $707,996 $369,580 $2,372,892 $6,150,000 $2,273,000 $6,300,000 $3,400,500 $5,400,000 $2,962,000 $4,323,000 $4,510,000 $4,310,000 $42,709,388 $21,002,758  
 Revenues over Expenses  $1,681,137 $942,317 $1,567,108 -$2,131,200 $1,826,176 -$2,118,840 $864,283 -$1,049,922 $1,475,080 $202,822 $106,338 -$2,348,057 $74,924    
               
 Fund Balance Forward Jan 1  $0   $1,681,137 $3,248,245 $1,117,045 $2,943,221 $824,381 $1,688,663 $638,742 $2,113,822 $2,316,643 $2,422,981    
               
Ending Balance Dec 31 $1,681,137   $3,248,245 $1,117,045 $2,943,221 $824,381 $1,688,663 $638,742 $2,113,822 $2,316,643 $2,422,981 $74,924 $74,924  
 *  expenses do not reflect total project cost.  Instead, only the project expenses to be funded with proceeds from the Infrastructure Sales Tax are shown here.         
 **  Other sources include state and/or federal aid, as well as cash from other funds or other reserve funds, debt financing, etc.       
 ^  Year to date as of May 21, 2010           
Assumptions:    
.50 sales tax      
.30 for infrastructure and equipment    
10 year sunset    
November election; April effective date; June 30 initial collections (7months of collections); March 31, 2019 sunset - 2019 receipts for 5 months    
sales tax - 2010 revised 4/15/2010; 2% annual growth beginning in 2011    
Base year 1-cent sales tax generates   $12,891,000