Ten Year Long Term Financial Plan Annual Review 2019/20
TABLE OF CONTENTS
PAGE NO.
Introduction ......................................................................................................................... 1 Income Statement for all Funds ............................................................................................ 2 Cash Flow Statements for all Funds ...................................................................................... 6 Balance Sheets for all Funds ............................................................................................... 10 10 Year Capital Works Program .......................................................................................... 14
INTRODUCTION
The Department of Local Government has implemented a new Integrated Planning and Reporting Framework with the objective of improving delivery of services to the community by councils.
The framework requires councils to integrate all of their plans together with the objective of delivering services for the community through streamlining council operations and ensuring optimal use of resources. Under the guidelines every council is required to prepare the following documents: • Community Strategic Plan for at least the next ten years • Delivery Program for four years • Operational Plan annually • Workforce management Plan • Long Term Financial Plan for at least ten years • Asset Management Plan According to the Local Government Integrated Reporting and Planning Guidelines for New South Wales, the following is required: • The Long Term Financial Plan must be updated at least annually as part of the development of the Operational Plan • The Long Term Financial Plan must be reviewed in detail as part of the four yearly review of the Community Strategic Plan
The Long Term Financial Plan must include: • Planning assumptions used to develop the plan • Projected income and expenditure, balance sheet and cash flow statement • Sensitivity analysis • Financial modelling for different scenarios • Methods of monitoring financial performance This is the annual review as part of the development of Operational Plan. For the full Long Term Financial Plan please refer to the 2017/2018 - 2026/2027 Long Term Financial Plan which was adopted on 13th June 2017 and available on the council website.
Ten Year Long Term Financial Plan – Annual Review 2019/20 - Page 1
Griffith City Council 10 Year Financial Plan for the Years ending 30 June 2029 INCOME STATEMENT - CONSOLIDATED
Actuals 2017/18 $
Revised Budget 2018/19 $
2019/20 $
2020/21 $
2021/22 $
2022/23 $
Projected Years 2023/24 2024/25 $ $
2025/26 $
2026/27 $
2027/28 $
2028/29 $
Income from Continuing Operations Revenue: Rates & Annual Charges User Charges & Fees Interest & Investment Revenue Other Revenues Grants & Contributions provided for Operating Purposes Grants & Contributions provided for Capital Purposes Other Income: Net gains from the disposal of assets Joint Ventures & Associated Entities Total Income from Continuing Operations
30,592,000 16,815,000 1,460,000 2,171,000 9,180,000 3,760,000
30,874,909 17,115,548 1,312,588 2,336,496 4,777,144 9,310,082
30,808,793 16,809,247 1,375,831 1,844,324 9,154,474 21,666,821
31,655,258 17,241,424 1,410,326 1,733,366 8,250,574 13,096,511
32,525,017 17,828,667 1,420,950 1,752,360 8,247,722 1,162,768
33,456,411 18,291,427 1,413,666 1,769,021 8,515,552 803,294
34,425,559 18,910,170 1,407,718 1,811,673 8,809,392 821,447
35,417,941 19,405,375 1,252,024 1,855,601 8,888,745 632,363
36,438,814 20,057,536 1,246,215 1,900,845 9,069,819 580,522
37,488,997 20,587,162 1,241,557 1,947,442 9,287,851 1,038,945
38,574,942 21,274,777 1,238,933 1,999,934 9,512,425 597,643
39,692,078 21,840,921 1,236,256 2,053,996 9,744,214 806,623
180,000 5,000 64,163,000
65,726,767
81,659,490
73,387,459
62,937,484
64,249,371
66,185,959
67,452,050
69,293,752
71,591,955
73,198,654
75,374,087
Employee Benefits & On-Costs Borrowing Costs Materials & Contracts Depreciation & Amortisation Other Expenses Total Expenses from Continuing Operations
23,039,000 1,392,000 12,684,000 12,592,000 4,097,000 53,804,000
24,334,774 1,328,712 14,209,367 11,410,792 4,760,962 56,044,607
25,755,968 1,310,528 12,643,712 12,586,567 4,779,506 57,076,281
26,414,895 1,392,439 12,359,131 12,773,246 4,666,953 57,606,664
27,000,630 1,476,411 12,517,732 12,964,845 5,197,352 59,156,970
27,726,057 1,607,622 12,840,988 13,159,318 5,112,193 60,446,178
28,499,613 1,553,776 13,115,878 13,356,707 5,235,830 61,761,804
29,294,816 1,416,502 13,369,372 13,557,058 5,090,011 62,727,759
30,141,540 1,272,210 13,797,744 13,760,414 5,201,307 64,173,214
31,042,921 1,122,295 13,934,103 13,966,820 5,318,766 65,384,905
31,971,343 960,731 14,354,734 14,176,322 5,452,956 66,916,086
33,007,490 792,485 14,899,241 14,388,967 5,561,940 68,650,124
Operating Result from Continuing Operations
10,359,000
9,682,160
24,583,209
15,780,795
3,780,515
3,803,193
4,424,155
4,724,292
5,120,537
6,207,050
6,282,568
6,723,963
-
-
-
-
-
-
-
-
-
-
-
-
10,359,000
9,682,160
24,583,209
15,780,795
3,780,515
3,803,193
4,424,155
4,724,292
5,120,537
6,207,050
6,282,568
6,723,963
6,599,000
372,078
2,916,388
2,684,284
2,617,747
2,999,899
3,602,708
4,091,929
4,540,015
5,168,105
5,684,925
5,917,340
Expenses from Continuing Operations
Discontinued Operations - Profit/(Loss) Net Profit/(Loss) from Discontinued Operations
Net Operating Result for the Year Net Operating Result before Grants and Contributions provided for Capital Purposes
Ten Year Long Term Financial Plan - Annual Review 2019/20
2
Griffith City Council 10 Year Financial Plan for the Years ending 30 June 2029 INCOME STATEMENT - GENERAL FUND
Actuals 2017/18 $
Revised Budget 2018/19 $
2019/20 $
2020/21 $
2021/22 $
2022/23 $
Projected Years 2023/24 2024/25 $ $
2025/26 $
2026/27 $
2027/28 $
2028/29 $
Income from Continuing Operations Revenue: Rates & Annual Charges User Charges & Fees Interest & Investment Revenue Other Revenues Grants & Contributions provided for Operating Purposes Grants & Contributions provided for Capital Purposes
20,938,000 7,304,000 707,000 1,928,000 9,021,000 2,543,000
20,974,709 7,648,683 694,670 2,166,766 4,604,144 7,039,924
20,891,636 7,655,950 726,610 1,664,535 8,986,974 21,006,071
21,436,767 7,813,529 726,610 1,548,687 8,081,214 12,826,211
21,996,132 8,117,934 726,610 1,562,645 8,076,446 892,468
22,608,201 8,289,372 726,610 1,574,119 8,342,303 660,671
23,248,432 8,608,054 726,610 1,611,428 8,634,111 676,305
23,902,019 8,794,195 611,610 1,649,855 8,711,370 484,653
24,573,922 9,128,021 611,610 1,689,432 8,890,288 430,195
25,264,653 9,329,762 611,610 1,730,193 9,106,099 885,952
25,980,351 9,679,655 611,610 1,776,675 9,328,385 441,933
26,716,119 9,897,944 611,610 1,824,546 9,557,818 648,145
Other Income: Net gains from the disposal of assets Joint Ventures & Associated Entities Total Income from Continuing Operations
126,000 5,000 42,572,000
43,128,896
60,931,776
52,433,017
41,372,236
42,201,276
43,504,940
44,153,703
45,323,468
46,928,269
47,818,608
49,256,182
19,325,000 68,000 6,656,000 8,001,000 2,997,000 37,047,000
20,444,390 65,012 7,603,438 7,370,849 3,566,277 39,049,966
21,680,741 96,556 5,756,925 7,995,707 3,478,654 39,008,583
22,230,992 242,657 5,584,182 8,113,523 3,462,064 39,633,419
22,707,354 404,447 5,613,305 8,235,226 3,667,708 40,628,039
23,318,361 613,574 5,622,289 8,358,755 3,682,056 41,595,035
23,970,182 640,451 5,799,566 8,484,136 3,774,446 42,668,781
24,640,241 594,020 5,947,661 8,611,398 3,761,606 43,554,926
25,353,662 546,054 6,045,564 8,740,569 3,840,089 44,525,937
26,113,086 497,772 6,157,384 8,871,677 3,923,923 45,563,843
26,895,294 450,004 6,384,475 9,004,753 4,023,654 46,758,180
27,768,149 400,611 6,588,903 9,139,824 4,097,327 47,994,815
5,525,000
4,078,930
21,923,193
12,799,598
744,196
606,241
836,159
598,778
797,531
1,364,427
1,060,428
1,261,367
-
-
-
-
-
-
-
-
-
-
-
-
5,525,000
4,078,930
21,923,193
12,799,598
744,196
606,241
836,159
598,778
797,531
1,364,427
1,060,428
1,261,367
159,854
114,125
367,336
478,475
618,495
613,222
Expenses from Continuing Operations Employee Benefits & On-Costs Borrowing Costs Materials & Contracts Depreciation & Amortisation Other Expenses Total Expenses from Continuing Operations
Operating Result from Continuing Operations Discontinued Operations - Profit/(Loss) Net Profit/(Loss) from Discontinued Operations
Net Operating Result for the Year Net Operating Result before Grants and Contributions provided for Capital Purposes
2,982,000
(2,960,994)
917,122
(26,613)
(148,272)
Ten Year Long Term Financial Plan - Annual Review 2019/20
(54,430)
3
Griffith City Council 10 Year Financial Plan for the Years ending 30 June 2029 INCOME STATEMENT - WATER FUND
Actuals 2017/18 $
Revised Budget 2018/19 $
2019/20 $
2020/21 $
2021/22 $
2022/23 $
Projected Years 2023/24 2024/25 $ $
2025/26 $
2026/27 $
2027/28 $
2028/29 $
Income from Continuing Operations Revenue: Rates & Annual Charges User Charges & Fees Interest & Investment Revenue Other Revenues Grants & Contributions provided for Operating Purposes Grants & Contributions provided for Capital Purposes Other Income: Net gains from the disposal of assets Total Income from Continuing Operations
1,967,000 8,584,000 548,000 223,000 102,000 195,000
1,969,833 8,603,785 434,918 151,910 116,000 837,988
1,997,504 8,470,167 453,721 154,960 112,000 382,600
2,058,080 8,724,272 488,216 159,609 113,860 153,040
2,120,489 8,986,000 498,840 164,397 115,776 153,040
2,184,446 9,255,580 491,556 169,329 117,749 77,974
2,250,330 9,533,248 485,608 174,409 119,782 79,455
2,318,201 9,819,245 454,914 179,641 121,875 80,965
2,388,118 10,113,822 449,105 185,030 124,031 82,503
2,460,142 10,417,237 444,447 190,581 126,252 84,071
2,534,338 10,729,754 441,823 196,299 128,540 85,668
2,610,770 11,051,647 439,146 202,188 130,896 87,296
51,000 11,670,000
12,114,434
11,570,952
11,697,077
12,038,542
12,296,634
12,642,831
12,974,841
13,342,610
13,722,731
14,116,422
14,521,943
Employee Benefits & On-Costs Borrowing Costs Materials & Contracts Depreciation & Amortisation Other Expenses Total Expenses from Continuing Operations
2,096,000 3,739,000 2,299,000 677,000 8,811,000
2,072,390 4,054,162 2,124,532 682,753 8,933,837
2,136,810 4,241,559 2,298,549 755,310 9,432,228
2,194,397 4,233,289 2,333,027 709,846 9,470,559
2,252,549 4,362,201 2,368,023 874,802 9,857,574
2,313,914 4,534,899 2,403,543 827,689 10,080,045
2,378,704 4,559,350 2,439,596 846,017 10,223,666
2,445,308 4,565,378 2,476,190 782,297 10,269,172
2,516,222 4,848,162 2,513,333 801,540 10,679,257
2,591,708 4,917,739 2,551,033 821,258 10,881,738
2,669,460 5,001,969 2,589,298 841,463 11,102,190
2,756,217 5,154,082 2,628,138 862,166 11,400,603
Operating Result from Continuing Operations
2,859,000
3,180,597
2,138,724
2,226,517
2,180,968
2,216,589
2,419,165
2,705,669
2,663,353
2,840,993
3,014,231
3,121,340
-
-
-
-
-
-
-
-
-
-
-
-
2,859,000
3,180,597
2,138,724
2,226,517
2,180,968
2,216,589
2,419,165
2,705,669
2,663,353
2,840,993
3,014,231
3,121,340
2,664,000
2,342,609
1,756,124
2,073,477
2,027,928
2,138,615
2,339,710
2,624,704
2,580,850
2,756,922
2,928,563
3,034,044
Expenses from Continuing Operations
Discontinued Operations - Profit/(Loss) Net Profit/(Loss) from Discontinued Operations
Net Operating Result for the Year Net Operating Result before Grants and Contributions provided for Capital Purposes
Ten Year Long Term Financial Plan - Annual Review 2019/20
4
Griffith City Council 10 Year Financial Plan for the Years ending 30 June 2029 INCOME STATEMENT - SEWER FUND
Actuals 2017/18 $
Revised Budget 2018/19 $
2019/20 $
2020/21 $
2021/22 $
2022/23 $
Projected Years 2023/24 2024/25 $ $
2025/26 $
2026/27 $
2027/28 $
2028/29 $
Income from Continuing Operations Revenue: Rates & Annual Charges User Charges & Fees Interest & Investment Revenue Other Revenues Grants & Contributions provided for Operating Purposes Grants & Contributions provided for Capital Purposes Other Income: Net gains from the disposal of assets Total Income from Continuing Operations
7,687,000 927,000 205,000 20,000 57,000 1,022,000
7,930,367 863,080 183,000 17,820 57,000 1,432,170
7,919,653 683,130 195,500 24,829 55,500 278,150
8,160,412 703,624 195,500 25,070 55,500 117,260
8,408,396 724,733 195,500 25,318 55,500 117,260
8,663,765 746,475 195,500 25,573 55,500 64,649
8,926,797 768,869 195,500 25,836 55,500 65,687
9,197,721 791,935 185,500 26,105 55,500 66,745
9,476,775 815,693 185,500 26,382 55,500 67,824
9,764,202 840,164 185,500 26,668 55,500 68,922
10,060,254 865,369 185,500 26,960 55,500 70,042
10,365,189 891,330 185,500 27,262 55,500 71,182
3,000 9,921,000
10,483,437
9,156,762
9,257,366
9,526,706
9,751,462
10,038,188
10,323,506
10,627,674
10,940,955
11,263,624
11,595,963
Employee Benefits & On-Costs Borrowing Costs Materials & Contracts Depreciation & Amortisation Other Expenses Total Expenses from Continuing Operations
1,618,000 1,324,000 2,289,000 2,292,000 423,000 7,946,000
1,817,994 1,263,700 2,551,767 1,915,411 511,932 8,060,804
1,938,417 1,213,972 2,645,228 2,292,311 545,542 8,635,470
1,989,506 1,149,782 2,541,660 2,326,696 495,043 8,502,686
2,040,728 1,071,964 2,542,226 2,361,596 654,843 8,671,356
2,093,781 994,048 2,683,800 2,397,020 602,448 8,771,098
2,150,727 913,325 2,756,962 2,432,975 615,367 8,869,357
2,209,268 822,482 2,856,333 2,469,470 546,108 8,903,660
2,271,656 726,156 2,904,018 2,506,512 559,678 8,968,020
2,338,126 624,523 2,858,980 2,544,110 573,585 8,939,324
2,406,590 510,727 2,968,289 2,582,271 587,839 9,055,716
2,483,124 391,874 3,156,256 2,621,005 602,447 9,254,707
Operating Result from Continuing Operations
1,975,000
2,422,633
521,292
754,680
855,350
980,364
1,168,831
1,419,845
1,659,654
2,001,631
2,207,908
2,341,256
-
-
-
-
-
-
-
-
-
-
-
-
1,975,000
2,422,633
521,292
754,680
855,350
980,364
1,168,831
1,419,845
1,659,654
2,001,631
2,207,908
2,341,256
953,000
990,463
243,142
637,420
738,090
915,715
1,103,144
1,353,100
1,591,830
1,932,709
2,137,866
2,270,074
Expenses from Continuing Operations
Discontinued Operations - Profit/(Loss) Net Profit/(Loss) from Discontinued Operations
Net Operating Result for the Year Net Operating Result before Grants and Contributions provided for Capital Purposes
Ten Year Long Term Financial Plan - Annual Review 2019/20
5
Griffith City Council 10 Year Financial Plan for the Years ending 30 June 2029 CASH FLOW STATEMENT - CONSOLIDATED
Actual 2017/18 $
Revised Budget 2018/19 $
2019/20 $
2020/21 $
2021/22 $
2022/23 $
Projected Years 2023/24 2024/25 $ $
2025/26 $
2026/27 $
2027/28 $
2028/29 $
Cash Flows from Operating Activities Receipts: Rates & Annual Charges User Charges & Fees Interest & Investment Revenue Received Grants & Contributions Other Payments: Employee Benefits & On-Costs Materials & Contracts Borrowing Costs Other Net Cash provided (or used in) Operating Activities
30,592,000 16,815,000 1,460,000 12,940,000 2,351,000
30,874,909 17,115,548 1,312,588 14,087,226 2,336,496
30,808,793 16,809,247 1,375,831 30,821,295 1,844,324
31,655,258 17,241,424 1,410,326 21,347,085 1,733,366
32,525,017 17,828,667 1,420,950 9,410,490 1,752,360
33,456,411 18,291,427 1,413,666 9,318,846 1,769,021
34,425,559 18,910,170 1,407,718 9,630,839 1,811,673
35,417,941 19,405,375 1,252,024 9,521,108 1,855,601
36,438,814 20,057,536 1,246,215 9,650,341 1,900,845
37,488,997 20,587,162 1,241,557 10,326,796 1,947,442
38,574,942 21,274,777 1,238,933 10,110,068 1,999,934
39,692,078 21,840,921 1,236,256 10,550,837 2,053,996
(23,039,000) (12,684,000) (1,392,000) (4,097,000)
(24,334,774) (14,209,367) (1,328,712) (4,760,962)
(25,755,968) (12,643,712) (1,310,528) (4,779,506)
(26,414,895) (12,359,131) (1,392,439) (4,666,953)
(27,000,630) (12,517,732) (1,476,411) (5,197,352)
(27,726,057) (12,840,988) (1,607,622) (5,112,193)
(28,499,613) (13,115,878) (1,553,776) (5,235,830)
(29,294,816) (13,369,372) (1,416,502) (5,090,011)
(30,141,540) (13,797,744) (1,272,210) (5,201,307)
(31,042,921) (13,934,103) (1,122,295) (5,318,766)
(31,971,343) (14,354,734) (960,731) (5,452,956)
(33,007,490) (14,899,241) (792,485) (5,561,940)
22,946,000
21,092,952
37,169,776
28,554,041
16,745,360
16,962,511
17,780,863
18,281,349
18,880,951
20,173,870
20,458,890
21,112,930
-
1,097,558 286,097
289,670
218,527
376,436
331,230
282,587
288,281
294,090
130,215
132,839
135,516
-
(30,443,284) -
(40,120,605) (2,000,000)
(34,031,332) (800,000)
(25,353,128) -
(16,061,650) -
(16,245,214) -
(13,753,130) -
(9,834,488) -
(10,004,429) -
(9,944,310) -
(12,714,255) -
-
(28,619,629)
(41,830,935)
(34,612,805)
(24,976,692)
(15,730,420)
(15,962,627)
(13,464,849)
(9,540,398)
(9,874,214)
(9,811,471)
(12,578,739)
-
2,200,000
6,250,000
5,550,000
7,500,000
1,500,000
-
(1,488,659)
(1,677,513)
(1,708,489)
(2,149,605)
(2,493,099)
(2,666,405)
(2,803,679)
(2,947,970)
(2,929,353)
(3,090,917)
(3,259,163)
4,572,487
3,841,511
5,350,395
(993,099)
(2,666,405)
(2,803,679)
(2,947,970)
(2,929,353)
(3,090,917)
(3,259,163)
(2,217,253)
(2,880,937)
238,992
2,012,821
6,392,583
7,370,303
7,556,502
5,275,029
Cash Flows from Investing Activities Receipts: Sale of Infrastructure, Property, Plant & Equipment Deferred Debtors Receipts Payments: Purchase of Infrastructure, Property, Plant & Equipment Deferred Debtors & Advances Made Net Cash provided (or used in) Investing Activities
Cash Flows from Financing Activities Receipts: Proceeds from Borrowings & Advances Payments: Repayment of Borrowings & Advances Net Cash Flow provided (used in) Financing Activities
-
711,341
-
-
-
-
-
-
Net Increase/(Decrease) in Cash & Cash Equivalents
22,946,000
(6,815,336)
plus: Cash, Cash Equivalents & Investments-beginning of year
22,473,000
45,419,000
38,603,664
38,514,992
36,297,739
33,416,802
33,655,794
32,807,624
34,820,445
41,213,029
48,583,332
56,139,834
Cash & Cash Equivalents - end of the year
45,419,000
38,603,664
38,514,992
36,297,739
33,416,802
33,655,794
32,807,624
34,820,445
41,213,029
48,583,332
56,139,834
61,414,862
0.02
0.05
0.05
0.05
0.06
0.06
0.06
0.06
0.06
0.06
0.06
0.05
Debt Service Ratio
(88,672)
(848,170)
Less Depreciation & Amortisation Joint Ventures & Associated Entities Net Gains/Losses from the Disposal of Assets
12,592,000 (5,000) -
11,410,792 -
12,586,567 -
12,773,246 -
12,964,845 -
13,159,318 -
13,356,707 -
13,557,058 -
13,760,414 -
13,966,820 -
14,176,322 -
14,388,967 -
Net Cash Operating Result for the Year
10,359,000
9,682,160
24,583,209
15,780,795
3,780,515
3,803,193
4,424,155
4,724,292
5,120,537
6,207,050
6,282,568
6,723,963
Ten Year Long Term Financial Plan - Annual Review 2019/20
6
Griffith City Council 10 Year Financial Plan for the Years ending 30 June 2029 CASH FLOW STATEMENT - GENERAL FUND
Actual 2017/18 $
Revised Budget 2018/19 $
2019/20 $
2020/21 $
2021/22 $
2022/23 $
Projected Years 2023/24 2024/25 $ $
2025/26 $
2026/27 $
2027/28 $
2028/29 $
Cash Flows from Operating Activities Receipts: Rates & Annual Charges User Charges & Fees Interest & Investment Revenue Received Grants & Contributions Other Payments: Employee Benefits & On-Costs Materials & Contracts Borrowing Costs Other Net Cash provided (or used in) Operating Activities
20,938,000 7,304,000 707,000 11,564,000 2,054,000
20,974,709 7,648,683 694,670 11,644,068 2,166,766
20,891,636 7,655,950 726,610 29,993,045 1,664,535
21,436,767 7,813,529 726,610 20,907,425 1,548,687
21,996,132 8,117,934 726,610 8,968,914 1,562,645
22,608,201 8,289,372 726,610 9,002,974 1,574,119
23,248,432 8,608,054 726,610 9,310,416 1,611,428
23,902,019 8,794,195 611,610 9,196,023 1,649,855
24,573,922 9,128,021 611,610 9,320,483 1,689,432
25,264,653 9,329,762 611,610 9,992,051 1,730,193
25,980,351 9,679,655 611,610 9,770,318 1,776,675
26,716,119 9,897,944 611,610 10,205,963 1,824,546
(19,325,000) (6,656,000) (68,000) (2,997,000)
(20,444,390) (7,603,438) (65,012) (3,566,277)
(21,680,741) (5,756,925) (96,556) (3,478,654)
(22,230,992) (5,584,182) (242,657) (3,462,064)
(22,707,354) (5,613,305) (404,447) (3,667,708)
(23,318,361) (5,622,289) (613,574) (3,682,056)
(23,970,182) (5,799,566) (640,451) (3,774,446)
(24,640,241) (5,947,661) (594,020) (3,761,606)
(25,353,662) (6,045,564) (546,054) (3,840,089)
(26,113,086) (6,157,384) (497,772) (3,923,923)
(26,895,294) (6,384,475) (450,004) (4,023,654)
(27,768,149) (6,588,903) (400,611) (4,097,327)
13,521,000
11,449,779
29,918,900
20,913,122
8,979,422
8,964,995
9,320,295
9,210,175
9,538,099
10,236,104
10,065,181
10,401,191
440,000 869,211 4,724
2,100
2,100
2,100
2,100
-
-
-
-
-
-
Cash Flows from Investing Activities Receipts: Sale of Real Estate Assets Sale of Infrastructure, Property, Plant & Equipment Deferred Debtors Receipts Payments: Purchase of Infrastructure, Property, Plant & Equipment Net Cash provided (or used in) Investing Activities
-
(21,757,490)
(34,084,985)
(27,537,462)
(18,025,837)
(9,263,977)
(8,950,641)
(7,911,033)
(7,227,073)
(7,822,387)
(7,651,237)
(10,412,789)
(20,443,555)
(34,082,885)
(27,535,362)
(18,023,737)
(9,261,877)
(8,950,641)
(7,911,033)
(7,227,073)
(7,822,387)
(7,651,237)
(10,412,789)
1,920,000
6,250,000
5,550,000
7,500,000
1,500,000
(1,098,677)
(1,362,268)
Cash Flows from Financing Activities Receipts: Proceeds from Borrowings & Advances Payments: Repayment of Borrowings & Advances Net Cash Flow provided (used in) Financing Activities Net Increase/(Decrease) in Cash & Cash Equivalents plus: Cash, Cash Equivalents & Investments-beginning of year
Cash & Cash Equivalents - end of the year
Debt Service Ratio
(666,310) -
(772,661)
(738,677)
-
-
-
-
-
-
(1,454,851)
(1,501,283)
(1,549,248)
(1,428,998)
(1,476,766)
(1,526,159)
(1,549,248)
(1,428,998)
(1,476,766)
(1,526,159)
1,253,690
5,477,339
4,811,323
6,401,323
137,732
(1,454,851)
(1,501,283)
13,521,000
(7,740,086)
1,313,354
(1,810,918)
(2,642,991)
(159,150)
(1,085,197)
(202,141)
5,562,000
19,083,000
11,342,914
12,656,268
10,845,350
8,202,359
8,043,209
19,083,000
11,342,914
12,656,268
10,845,350
8,202,359
8,043,209
0.00
0.02
0.02
0.02
0.04
761,779
984,719
937,178
(1,537,757)
6,958,012
6,755,871
7,517,650
8,502,369
9,439,547
6,958,012
6,755,871
7,517,650
8,502,369
9,439,547
7,901,790
0.05
0.05
0.05
0.05
0.04
0.04
0.04
Less Depreciation & Amortisation Joint Ventures & Associated Entities Net Gains/Losses from the Disposal of Assets
8,001,000 (5,000)
7,370,849
7,995,707
8,113,523
8,235,226
8,358,755
8,484,136
8,611,398
8,740,569
8,871,677
9,004,753
9,139,824
Net Operating Result for the Year
5,525,000
4,078,930
21,923,193
12,799,598
744,196
606,241
836,159
598,778
797,531
1,364,427
1,060,428
1,261,367
Ten Year Long Term Financial Plan - Annual Review 2019/20
7
Griffith City Council 10 Year Financial Plan for the Years ending 30 June 2029 CASH FLOW STATEMENT - WATER FUND
Actual 2017/18 $
Revised Budget 2018/19 $
2019/20 $
2020/21 $
2021/22 $
2022/23 $
Projected Years 2023/24 2024/25 $ $
2025/26 $
2026/27 $
2027/28 $
2028/29 $
Cash Flows from Operating Activities Receipts: Rates & Annual Charges User Charges & Fees Interest & Investment Revenue Received Grants & Contributions Other Payments: Employee Benefits & On-Costs Materials & Contracts Borrowing Costs Other Net Cash provided (or used in) Operating Activities
1,967,000 8,584,000 548,000 297,000 274,000
1,969,833 8,603,785 434,918 953,988 151,910
1,997,504 8,470,167 453,721 494,600 154,960
2,058,080 8,724,272 488,216 266,900 159,609
2,120,489 8,986,000 498,840 268,816 164,397
2,184,446 9,255,580 491,556 195,723 169,329
2,250,330 9,533,248 485,608 199,237 174,409
2,318,201 9,819,245 454,914 202,840 179,641
2,388,118 10,113,822 449,105 206,534 185,030
2,460,142 10,417,237 444,447 210,323 190,581
2,534,338 10,729,754 441,823 214,208 196,299
2,610,770 11,051,647 439,146 218,192 202,188
(2,096,000) (3,739,000) (677,000)
(2,072,390) (4,054,162) (682,753)
(2,136,810) (4,241,559) (755,310)
(2,194,397) (4,233,289) (709,846)
(2,252,549) (4,362,201) (874,802)
(2,313,914) (4,534,899) (827,689)
(2,378,704) (4,559,350) (846,017)
(2,445,308) (4,565,378) (782,297)
(2,516,222) (4,848,162) (801,540)
(2,591,708) (4,917,739) (821,258)
(2,669,460) (5,001,969) (841,463)
(2,756,217) (5,154,082) (862,166)
5,158,000
5,305,129
4,437,273
4,559,545
4,548,991
4,620,132
4,858,761
5,181,859
5,176,686
5,392,026
5,603,530
5,749,478
98,330 281,373
287,570
216,427
374,336
329,130
282,587
288,281
294,090
130,215
132,839
135,516
Cash Flows from Investing Activities Receipts: Sale of Infrastructure, Property, Plant & Equipment Deferred Debtors Receipts Payments: Purchase of Investment Securities Purchase of Infrastructure, Property, Plant & Equipment Deferred Debtors & Advances Made Net Cash provided (or used in) Investing Activities
-
(4,737,962) -
(4,296,210) (2,000,000)
(4,705,488) (800,000)
(3,614,835)
(5,071,071)
(5,496,219)
(5,187,941)
(1,992,340)
(1,410,925)
(1,546,852)
(1,562,898)
(4,358,259)
(6,008,640)
(5,289,061)
(3,240,499)
(4,741,941)
(5,213,632)
(4,899,660)
(1,698,250)
(1,280,710)
(1,414,013)
(1,427,382)
Cash Flows from Financing Activities Receipts: Proceeds from Borrowings & Advances Payments: Repayment of Borrowings & Advances Net Cash Flow provided (used in) Financing Activities
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
282,199
3,478,436
4,111,316
4,189,517
4,322,096
-
-
5,158,000
946,870
plus: Cash, Cash Equivalents & Investments-beginning of year
14,021,000
19,179,000
20,125,870
18,554,503
17,824,987
19,133,478
19,011,669
18,656,798
18,938,997
22,417,433
26,528,749
30,718,265
Cash & Cash Equivalents - end of the year
19,179,000
20,125,870
18,554,503
17,824,987
19,133,478
19,011,669
18,656,798
18,938,997
22,417,433
26,528,749
30,718,265
35,040,361
Balance of Sec 64 Water Reserve Balance of Unrestricted Cash
3,003,140 16,175,860
3,827,500 16,298,370
4,210,100 14,344,403
4,363,140 13,461,847
4,516,180 14,617,298
4,594,154 14,417,515
4,673,609 13,983,189
4,754,574 14,184,423
4,837,077 17,580,356
4,921,148 21,607,601
5,006,816 25,711,449
5,094,112 29,946,249
Less Depreciation & Amortisation Net Gains from the Disposal of Assets
2,299,000
2,124,532
2,298,549
2,333,027
2,368,023
2,403,543
2,439,596
2,476,190
2,513,333
2,551,033
2,589,298
2,628,138
Net Operating Result for the Year
2,859,000
3,180,597
2,138,724
2,226,517
2,180,968
2,216,589
2,419,165
2,705,669
2,663,353
2,840,993
3,014,231
3,121,340
Net Increase/(Decrease) in Cash & Cash Equivalents
(1,571,367)
(729,516)
1,308,492
Ten Year Long Term Financial Plan - Annual Review 2019/20
(121,809)
(354,871)
8
Griffith City Council 10 Year Financial Plan for the Years ending 30 June 2029 CASH FLOW STATEMENT - SEWER FUND
Actual 2017/18 $
Revised Budget 2018/19 $
2019/20 $
2020/21 $
2021/22 $
2022/23 $
Projected Years 2023/24 2024/25 $ $
2025/26 $
2026/27 $
2027/28 $
2028/29 $
Cash Flows from Operating Activities Receipts: Rates & Annual Charges User Charges & Fees Interest & Investment Revenue Received Grants & Contributions Other Payments: Employee Benefits & On-Costs Materials & Contracts Borrowing Costs Other Net Cash provided (or used in) Operating Activities
7,687,000 927,000 205,000 1,079,000 23,000
7,930,367 863,080 183,000 1,489,170 17,820
7,919,653 683,130 195,500 333,650 24,829
8,160,412 703,624 195,500 172,760 25,070
8,408,396 724,733 195,500 172,760 25,318
8,663,765 746,475 195,500 120,149 25,573
8,926,797 768,869 195,500 121,187 25,836
9,197,721 791,935 185,500 122,245 26,105
9,476,775 815,693 185,500 123,324 26,382
9,764,202 840,164 185,500 124,422 26,668
10,060,254 865,369 185,500 125,542 26,960
10,365,189 891,330 185,500 126,682 27,262
(1,618,000) (2,289,000) (1,324,000) (423,000)
(1,817,994) (2,551,767) (1,263,700) (511,932)
(1,938,417) (2,645,228) (1,213,972) (545,542)
(1,989,506) (2,541,660) (1,149,782) (495,043)
(2,040,728) (2,542,226) (1,071,964) (654,843)
(2,093,781) (2,683,800) (994,048) (602,448)
(2,150,727) (2,756,962) (913,325) (615,367)
(2,209,268) (2,856,333) (822,482) (546,108)
(2,271,656) (2,904,018) (726,156) (559,678)
(2,338,126) (2,858,980) (624,523) (573,585)
(2,406,590) (2,968,289) (510,727) (587,839)
(2,483,124) (3,156,256) (391,874) (602,447)
4,267,000
4,338,044
2,813,603
3,081,375
3,216,946
3,377,384
3,601,806
3,889,315
4,166,166
4,545,741
4,790,179
4,962,262
-
-
-
-
-
-
-
-
-
-
Cash Flows from Investing Activities Receipts: Sale of Infrastructure, Property, Plant & Equipment Deferred Debtors Receipts Payments: Purchase of Investment Securities Purchase of Infrastructure, Property, Plant & Equipment Deferred Debtors & Advances Made Net Cash provided (or used in) Investing Activities
130,017
-
(3,947,832)
(1,739,410)
(1,788,382)
(3,712,456)
(1,726,602)
(1,798,354)
(654,156)
(615,075)
(771,117)
(746,221)
(738,568)
(3,817,815)
(1,739,410)
(1,788,382)
(3,712,456)
(1,726,602)
(1,798,354)
(654,156)
(615,075)
(771,117)
(746,221)
(738,568)
Cash Flows from Financing Activities Receipts: Proceeds from Borrowings & Advances Payments: Repayment of Borrowings & Advances
-
280,000
-
-
-
-
-
-
-
-
-
-
(822,349)
(904,852)
(969,812)
(1,050,928)
(1,130,831)
(1,211,554)
(1,302,396)
(1,398,722)
(1,500,355)
(1,614,151)
(1,733,004)
-
(542,349)
(904,852)
(969,812)
(1,050,928)
(1,130,831)
(1,211,554)
(1,302,396)
(1,398,722)
(1,500,355)
(1,614,151)
(1,733,004)
Net Increase/(Decrease) in Cash & Cash Equivalents
4,267,000
(22,120)
169,341
323,181
(1,546,438)
plus: Cash, Cash Equivalents & Investments-beginning of year
2,890,000
7,157,000
7,134,880
7,304,221
Cash & Cash Equivalents - end of the year
7,157,000
7,134,880
7,304,221
Balance of Sec 64 Sewer Reserve Balance of Unrestricted Cash
1,583,828 5,573,172
2,195,168 4,939,712
0.14
Less Depreciation & Amortisation Net Gains from the Disposal of Assets Net Operating Result for the Year
Net Cash Flow provided (used in) Financing Activities
Debt Service Ratio
519,951
591,898
1,932,763
2,152,369
2,274,269
2,429,807
2,490,690
7,627,402
6,080,965
6,600,915
7,192,814
9,125,577
11,277,946
13,552,214
15,982,022
7,627,402
6,080,965
6,600,915
7,192,814
9,125,577
11,277,946
13,552,214
15,982,022
18,472,711
2,463,318 4,840,903
2,570,578 5,056,824
2,677,838 3,403,127
2,732,487 3,868,428
2,788,174 4,404,640
2,844,919 6,280,658
2,902,743 8,375,203
2,961,665 10,590,549
3,021,707 12,960,315
3,082,889 15,389,822
0.21
0.24
0.23
0.23
0.22
0.21
0.21
0.20
0.20
0.19
0.18
2,292,000
1,915,411 -
2,292,311 -
2,326,696 -
2,361,596 -
2,397,020 -
2,432,975 -
2,469,470 -
2,506,512 -
2,544,110 -
2,582,271 -
2,621,005 -
1,975,000
2,422,633
521,292
754,680
855,350
980,364
1,168,831
1,419,845
1,659,654
2,001,631
2,207,908
2,341,256
Ten Year Long Term Financial Plan - Annual Review 2019/20
9
Griffith City Council 10 Year Financial Plan for the Years ending 30 June 2029 BALANCE SHEET - CONSOLIDATED
Actuals 2017/18 $
Current Year 2018/19 $
2019/20 $
2020/21 $
2021/22 $
2022/23 $
Projected Years 2023/24 2024/25 $ $
2025/26 $
2026/27 $
2027/28 $
2028/29 $
ASSETS Current Assets Cash & Cash Equivalents Receivables Inventories Other Total Current Assets Non-Current Assets Receivables Inventories Infrastructure, Property, Plant & Equipment Investments Accounted for using the equity method Intangible Assets Total Non-Current Assets TOTAL ASSETS
45,419,000 8,827,000 3,767,000 19,000 58,032,000
38,603,664 7,407,677 4,304,648 184,754 50,500,743
38,514,992 8,588,526 4,306,772 186,365 51,596,656
36,297,739 7,956,462 4,242,521 181,918 48,678,640
33,416,802 7,067,354 4,258,300 186,754 44,929,210
33,655,793 6,946,667 4,270,641 187,193 45,060,294
32,807,624 4,284,723 4,323,948 192,634 41,608,929
34,820,445 6,866,865 4,367,670 195,345 46,250,325
41,213,029 6,843,300 4,412,248 198,890 52,667,468
48,583,332 7,001,085 4,448,917 202,826 60,236,160
56,139,834 7,132,343 4,520,177 209,426 68,001,779
61,414,862 7,285,878 4,588,614 215,034 73,504,388
551,000 680,906,000 341,000 8,296,000 690,094,000 748,126,000
831,300 1,056,871 691,885,993 341,000 8,296,000 702,411,164 752,911,906
829,200 1,054,298 718,574,531 341,000 8,296,000 729,095,029 780,691,685
827,100 1,039,137 739,664,083 341,000 8,296,000 750,167,319 798,845,960
825,000 1,041,164 752,152,366 341,000 8,296,000 762,655,530 807,584,740
825,000 1,041,790 755,054,698 341,000 8,296,000 765,558,488 810,618,783
825,000 1,054,133 757,621,498 341,000 8,296,000 768,137,631 809,746,561
825,000 1,064,445 757,817,570 341,000 8,296,000 768,344,015 814,594,340
825,000 1,071,262 753,891,644 341,000 8,296,000 764,424,906 817,092,374
825,000 1,079,048 749,929,254 341,000 8,296,000 760,470,301 820,706,461
825,000 1,094,860 745,697,241 341,000 8,296,000 756,254,101 824,255,880
825,000 1,109,094 744,022,529 341,000 8,296,000 754,593,623 828,098,011
4,934,000 823,000 1,416,000 6,141,000 13,314,000
5,676,251 1,046,502 1,571,162 6,156,711 14,450,627
5,718,955 1,098,762 1,742,473 6,156,711 14,716,901
5,622,527 1,103,682 1,789,605 6,156,711 14,672,524
5,735,785 1,141,212 2,229,508 6,156,711 15,263,217
5,750,519 1,162,775 2,573,822 6,156,711 15,643,828
5,878,732 1,204,742 2,757,247 6,156,711 15,997,432
5,945,231 1,231,216 2,900,005 6,156,711 16,233,163
6,031,148 1,275,235 3,049,603 6,156,711 16,512,698
6,126,147 1,303,823 3,043,149 6,156,711 16,629,830
6,281,606 1,350,550 3,209,770 6,156,711 16,998,638
6,415,390 1,381,927 3,354,695 6,156,711 17,308,723
17,924,000 203,000 18,127,000 31,441,000 716,685,000
2,950 19,146,816 187,289 19,337,054 33,787,681 719,124,225
3,034 23,719,303 187,289 23,909,626 38,626,527 742,065,157
3,066 27,560,814 187,289 27,751,169 42,423,693 756,422,266
3,137 32,911,209 187,289 33,101,634 48,364,851 759,219,889
3,198 31,918,110 187,289 32,108,597 47,752,425 762,866,358
3,289 29,251,705 187,289 29,442,283 45,439,715 764,306,846
3,368 26,448,026 187,289 26,638,683 42,871,846 771,722,495
3,455 23,500,056 187,289 23,690,800 40,203,497 776,888,877
3,549 20,570,703 187,289 20,761,540 37,391,371 783,315,091
3,658 17,479,786 187,289 17,670,732 34,669,370 789,586,510
3,771 14,220,623 187,289 14,411,682 31,720,406 796,377,606
420,071,000 296,614,000 716,685,000 716,685,000
422,510,225 296,614,000 719,124,225 719,124,225
445,451,157 296,614,000 742,065,157 742,065,157
459,808,266 296,614,000 756,422,266 756,422,266
462,605,889 296,614,000 759,219,889 759,219,889
466,252,358 296,614,000 762,866,358 762,866,358
470,319,574 296,614,000 766,933,574 766,933,574
475,108,495 296,614,000 771,722,495 771,722,495
480,274,877 296,614,000 776,888,877 776,888,877
486,701,091 296,614,000 783,315,091 783,315,091
492,972,510 296,614,000 789,586,510 789,586,510
499,763,606 296,614,000 796,377,606 796,377,606
LIABILITIES Current Liabilities Payables Income received in advance Borrowings Provisions Total Current Liabilities Non-Current Liabilities Payables Borrowings Provisions Total Non-Current Liabilities TOTAL LIABILITIES
Net Assets EQUITY Retained Earnings Revaluation Reserves Council Equity Interest
Total Equity
Ten Year Long Term Financial Plan - Annual Review 2019/20
10
Griffith City Council 10 Year Financial Plan for the Years ending 30 June 2029 BALANCE SHEET - GENERAL FUND
Actuals 2017/18 $
Current Year 2018/19 $
2019/20 $
2020/21 $
2021/22 $
2022/23 $
Projected Years 2023/24 2024/25 $ $
2025/26 $
2026/27 $
2027/28 $
2028/29 $
ASSETS Current Assets Cash & Cash Equivalents Receivables Inventories Other Total Current Assets Non-Current Assets Receivables Inventories Infrastructure, Property, Plant & Equipment Investments Accounted for using the equity method Intangible Assets Total Non-Current Assets TOTAL ASSETS
19,083,000 2,568,000 1,199,000 19,000 22,869,000
11,342,914 2,336,808 2,153,131 184,754 16,017,606
12,656,268 3,517,212 2,142,304 186,365 18,502,149
10,845,350 2,931,399 2,078,519 181,918 16,037,186
8,202,359 2,241,343 2,087,050 186,754 12,717,506
8,043,209 2,269,324 2,089,682 187,193 12,589,408
6,958,012 2,330,818 2,141,613 192,634 11,623,078
6,755,871 2,383,056 2,184,997 195,345 11,519,268
7,517,650 2,456,378 2,213,676 198,890 12,386,595
8,502,369 2,541,256 2,246,433 202,826 13,492,884
9,439,547 2,596,135 2,312,958 209,426 14,558,065
7,901,790 2,669,689 2,372,843 215,034 13,159,356
8,000 424,632,000 341,000 8,296,000 433,277,000 456,146,000
6,300 414,871 432,907,322 341,000 8,296,000 441,965,493 457,983,099
4,200 412,298 458,151,100 341,000 8,296,000 467,204,598 485,706,747
2,100 397,137 477,406,505 341,000 8,296,000 486,442,741 502,479,927
399,164 487,297,116 341,000 8,296,000 496,333,280 509,050,786
399,790 488,202,338 341,000 8,296,000 497,239,128 509,828,536
412,133 488,347,136 341,000 8,296,000 497,396,270 509,019,347
422,445 487,646,771 341,000 8,296,000 496,706,216 508,225,485
429,262 486,133,276 341,000 8,296,000 495,199,538 507,586,132
437,048 485,083,985 341,000 8,296,000 494,158,033 507,650,917
452,860 483,730,470 341,000 8,296,000 492,820,329 507,378,395
467,094 485,003,435 341,000 8,296,000 494,107,529 507,266,885
4,930,000 823,000 594,000 6,141,000 12,488,000
5,673,727 1,046,502 666,310 6,156,711 13,543,251
5,716,268 1,098,762 772,661 6,156,711 13,744,402
5,619,868 1,103,682 738,677 6,156,711 13,618,938
5,732,968 1,141,212 1,098,677 6,156,711 14,129,569
5,747,635 1,162,775 1,362,268 6,156,711 14,429,390
5,875,825 1,204,742 1,454,851 6,156,711 14,692,129
5,942,355 1,231,216 1,501,283 6,156,711 14,831,565
6,028,110 1,275,235 1,549,248 6,156,711 15,009,304
6,123,061 1,303,823 1,428,998 6,156,711 15,012,593
6,278,464 1,350,550 1,476,766 6,156,711 15,262,491
6,412,154 1,381,927 1,526,159 6,156,711 15,476,951
1,088,000 203,000 1,291,000 13,779,000 442,367,000
2,950 2,935,690 187,289 3,125,928 16,669,179 441,313,920
3,034 8,413,029 187,289 8,603,352 22,347,754 463,358,993
3,066 13,224,352 187,289 13,414,707 27,033,645 475,446,282
3,137 19,625,675 187,289 19,816,100 33,945,669 475,105,116
3,198 19,763,407 187,289 19,953,894 34,383,284 475,445,252
3,289 18,308,556 187,289 18,499,134 33,191,263 475,828,084
3,368 16,807,273 187,289 16,997,929 31,829,495 476,395,990
3,455 15,258,025 187,289 15,448,769 30,458,073 477,128,059
3,549 13,829,027 187,289 14,019,864 29,032,457 478,618,460
3,658 12,352,261 187,289 12,543,207 27,805,699 479,572,696
3,771 10,826,102 187,289 11,017,161 26,494,113 480,772,772
263,031,000 179,336,000 442,367,000 442,367,000
261,977,920 179,336,000 441,313,920 441,313,920
284,022,993 179,336,000 463,358,993 463,358,993
296,110,282 179,336,000 475,446,282 475,446,282
295,769,116 179,336,000 475,105,116 475,105,116
296,109,252 179,336,000 475,445,252 475,445,252
296,492,084 179,336,000 475,828,084 475,828,084
297,059,990 179,336,000 476,395,990 476,395,990
297,792,059 179,336,000 477,128,059 477,128,059
299,282,460 179,336,000 478,618,460 478,618,460
300,236,696 179,336,000 479,572,696 479,572,696
301,436,772 179,336,000 480,772,772 480,772,772
LIABILITIES Current Liabilities Payables Income received in advance Borrowings Provisions Total Current Liabilities Non-Current Liabilities Payables Borrowings Provisions Total Non-Current Liabilities TOTAL LIABILITIES
Net Assets EQUITY Retained Earnings Revaluation Reserves Council Equity Interest
Total Equity
Ten Year Long Term Financial Plan - Annual Review 2019/20
11
Griffith City Council 10 Year Financial Plan for the Years ending 30 June 2029 BALANCE SHEET - WATER FUND
Actuals 2017/18 $
Current Year 2018/19 $
2019/20 $
2020/21 $
2021/22 $
2022/23 $
Projected Years 2023/24 2024/25 $ $
2025/26 $
2026/27 $
2027/28 $
2028/29 $
ASSETS Current Assets Cash & Cash Equivalents Receivables Inventories Other Total Current Assets Non-Current Assets Receivables Inventories Infrastructure, Property, Plant & Equipment Investments Accounted for using the equity method Intangible Assets Total Non-Current Assets TOTAL ASSETS
19,179,000 3,869,000 2,568,000 25,616,000
20,125,870 2,759,247 2,151,517 25,036,634
18,554,503 2,740,578 2,164,468 23,459,549
17,824,987 2,623,570 2,164,003 22,612,560
19,133,478 2,351,638 2,171,250 23,656,366
19,011,669 2,127,918 2,180,960 23,320,547
18,656,798 1,953,905 2,182,334 22,793,038
18,938,997 1,777,458 2,182,673 22,899,128
22,417,433 1,598,558 2,198,572 26,214,563
26,528,749 1,586,991 2,202,484 30,318,224
30,718,265 1,576,362 2,207,219 34,501,847
35,040,361 1,566,725 2,215,771 38,822,857
543,000 133,337,000 133,880,000 159,496,000
825,000 642,000 134,823,243 136,290,243 161,326,877
825,000 642,000 136,820,904 138,287,904 161,747,453
825,000 642,000 139,193,365 140,660,365 163,272,924
825,000 642,000 140,440,177 141,907,177 165,563,544
825,000 642,000 143,107,705 144,574,705 167,895,252
825,000 642,000 146,164,328 147,631,328 170,424,366
825,000 642,000 148,876,079 150,343,079 173,242,207
825,000 642,000 148,355,086 149,822,086 176,036,649
825,000 642,000 147,214,978 148,681,978 179,000,202
825,000 642,000 146,172,532 147,639,532 182,141,378
825,000 642,000 145,107,292 146,574,292 185,397,149
4,000 4,000
2,524 2,524
2,687 2,687
2,658 2,658
2,816 2,816
2,884 2,884
2,907 2,907
2,876 2,876
3,038 3,038
3,086 3,086
3,142 3,142
3,235 3,235
4,000 159,492,000
2,524 161,324,353
2,687 161,744,766
2,658 163,270,266
2,816 165,560,727
2,884 167,892,368
2,907 170,421,459
2,876 173,239,331
3,038 176,033,611
3,086 178,997,116
3,142 182,138,236
3,235 185,393,913
89,817,000 69,675,000 159,492,000 159,492,000
91,649,353 69,675,000 161,324,353 161,324,353
92,069,766 69,675,000 161,744,766 161,744,766
93,595,266 69,675,000 163,270,266 163,270,266
95,885,727 69,675,000 165,560,727 165,560,727
98,217,368 69,675,000 167,892,368 167,892,368
100,746,459 69,675,000 170,421,459 170,421,459
103,564,331 69,675,000 173,239,331 173,239,331
106,358,611 69,675,000 176,033,611 176,033,611
109,322,116 69,675,000 178,997,116 178,997,116
112,463,236 69,675,000 182,138,236 182,138,236
115,718,913 69,675,000 185,393,913 185,393,913
LIABILITIES Current Liabilities Payables Borrowings Provisions Total Current Liabilities Non-Current Liabilities Payables Income received in advance Borrowings Provisions Total Non-Current Liabilities TOTAL LIABILITIES
Net Assets EQUITY Retained Earnings Revaluation Reserves Council Equity Interest
Total Equity
Ten Year Long Term Financial Plan - Annual Review 2019/20
12
Griffith City Council 10 Year Financial Plan for the Years ending 30 June 2029 BALANCE SHEET - SEWER FUND
Actuals 2017/18 $
Current Year 2018/19 $
2019/20 $
2020/21 $
2021/22 $
2022/23 $
Projected Years 2023/24 2024/25 $ $
2025/26 $
2026/27 $
2027/28 $
2028/29 $
ASSETS Current Assets Cash & Cash Equivalents Receivables Inventories Other Total Current Assets Non-Current Assets Receivables Inventories Infrastructure, Property, Plant & Equipment Investments Accounted for using the equity method Intangible Assets Total Non-Current Assets TOTAL ASSETS
7,157,000 2,390,000 9,547,000
7,134,880 2,311,622 9,446,502
7,304,221 2,330,736 9,634,957
7,627,402 2,401,493 10,028,895
6,080,965 2,474,373 8,555,338
6,600,915 2,549,424 9,150,339
7,192,814 2,626,728 9,819,542
9,125,577 2,706,352 11,831,929
11,277,946 2,788,364 14,066,310
13,552,214 2,872,838 16,425,052
15,982,022 2,959,846 18,941,868
18,472,711 3,049,464 21,522,175
122,937,000 122,937,000 132,484,000
124,155,428 124,155,428 133,601,930
123,602,527 123,602,527 133,237,484
123,064,213 123,064,213 133,093,108
124,415,073 124,415,073 132,970,411
123,744,655 123,744,655 132,894,995
123,110,034 123,110,034 132,929,576
121,294,720 121,294,720 133,126,649
119,403,283 119,403,283 133,469,593
117,630,290 117,630,290 134,055,342
115,794,240 115,794,240 134,736,107
113,911,802 113,911,802 135,433,978
822,000 822,000
904,852 904,852
969,812 969,812
1,050,928 1,050,928
1,130,831 1,130,831
1,211,554 1,211,554
1,302,396 1,302,396
1,398,722 1,398,722
1,500,355 1,500,355
1,614,151 1,614,151
1,733,004 1,733,004
1,828,536 1,828,536
16,836,000 16,836,000 17,658,000 114,826,000
16,211,126 16,211,126 17,115,978 116,485,952
15,306,274 15,306,274 16,276,086 116,961,398
14,336,462 14,336,462 15,387,390 117,705,718
13,285,534 13,285,534 14,416,365 118,554,046
12,154,703 12,154,703 13,366,257 119,528,738
10,943,149 10,943,149 12,245,545 120,684,031
9,640,753 9,640,753 11,039,475 122,087,173
8,242,031 8,242,031 9,742,386 123,727,207
6,741,676 6,741,676 8,355,827 125,699,515
5,127,525 5,127,525 6,860,529 127,875,578
3,394,521 3,394,521 5,223,057 130,210,920
67,223,000 47,603,000 114,826,000 114,826,000
68,882,952 47,603,000 116,485,952 116,485,952
69,358,398 47,603,000 116,961,398 116,961,398
70,102,718 47,603,000 117,705,718 117,705,718
70,951,046 47,603,000 118,554,046 118,554,046
71,925,738 47,603,000 119,528,738 119,528,738
73,081,031 47,603,000 120,684,031 120,684,031
74,484,173 47,603,000 122,087,173 122,087,173
76,124,207 47,603,000 123,727,207 123,727,207
78,096,515 47,603,000 125,699,515 125,699,515
80,272,578 47,603,000 127,875,578 127,875,578
82,607,920 47,603,000 130,210,920 130,210,920
LIABILITIES Current Liabilities Payables Borrowings Provisions Total Current Liabilities Non-Current Liabilities Payables Income received in advance Borrowings Provisions Total Non-Current Liabilities TOTAL LIABILITIES
Net Assets EQUITY Retained Earnings Revaluation Reserves Council Equity Interest
Total Equity
Ten Year Long Term Financial Plan - Annual Review 2019/20
13
Griffith City Council - Long Term Infrastructure Plan 10 Year Capital Works Program General Fund
1
2
3
4
5
6
7
8
9
10
2019/20
2020/21
2021/22
2022/23
2023/24
2024/25
2025/26
2026/27
2027/28
2028/29
Year 1 Funding Item
Ranking/ Priority
Department
Linkage to Delivery Program/ Community Strategic Plan
Project
Comments
Project Total General Purpose Revenue
Unavoidable, as expenditure required to enable continued service provision, fund from fees and charges generated Unavoidable, as expenditure required to enable continued service provision, fund from fees and charges generated Funded from general purpose revenue. Expenditure unavoidable to provide capacity for this essential service to the community Lower priority but necessary in medium / longer term, fund from general purpose revenue
Grants/ Contributions
Reserves
Loans
1
1
Public Cemeteries
8.1.14
Lawn Beams - Blumer Ave site
2
1
Public Cemeteries
8.1.14
Vault Construction - Blumer Ave site
3
1
Public Cemeteries
8.1.13
New Cemetery - Stage 1 Rifle Range Road
4
3
Public Cemeteries
8.1.14
New Toilet Building-Yenda Cemetery (Addendum)
50,000
50,000
50,000
4
2
Fleet
8.1.12
Plant Replacement Program - General (Net)
Needed to maintain service level, fund from general purpose revenue
1,173,250
12,718,450
1,173,250
1,211,000
1,561,250
5
3
Fleet
8.1.12
Depot Buildings Asset Maintenance (Capital)
Needed to maintain service level, fund from general purpose revenue
60,000
1,505,130
60,000
10,000
590,000
6
3
Fleet
8.1.12
Fibre Optic Cabling to Main Works Depot
170,000
170,000
170,000
7
3
Fleet
8.1.12
Power Upgrade - Depot
8
2
Aquatic Facilities
4.4.1
GRALC Redevelopment
Needed to maintain service level, fund from general purpose revenue Needed to maintain service level, fund from general purpose revenue + contribution from Water, Sewer & Waste Funds Needed to improve service level, fund from external loan 50% & Grant 50%
9
3
Aquatic Facilities
4.4.2
Aquatic Facility Asset Maintenance (Capital)
Needed to maintain service level, fund from Facilities Reserve
10
3
Aquatic Facilities
4.4.2
Aquatic Facility Equipment Maintenance (Capital)
11
2
Parks & Gardens
5.3.1
West End Sports Precinct
12
2
Parks & Gardens
5.2.1
Playground Equipment Replacement - General
Needed to maintain service level, fund from general purpose revenue Needed to maintain service level, fund from grant, loan, contributions & Section 94A Needed to maintain service level, fund from Section 94A
13
2
Parks & Gardens
5.2.1
Playground Equipment Replacement - City Park
Needed to maintain service level, fund from Section 94A
14
2
Parks & Gardens
5.2.1
Irrigation System Installation - Replacements/Upgrades
15
2
Parks & Gardens
8.1.17
Upgrade Toilet Blocks - General
16
2
Parks & Gardens
5.3.1
Refurbish Sporting Ovals New Community Stage - Community Gardens & New Toilet Block - City Park New Rose Garden - Adjacent to Visitors Information Centre (Addendum)
Needed to maintain service level, fund from general purpose revenue Needed to maintain service level, fund from general purpose revenue (50%) & PRMF (50%) Needed to maintain service level, fund from Parks & Gardens Infrastructure Reserve
17
5
Parks & Gardens
5.2.1
18
5
Parks & Gardens
8.3.1
Lower priority but necessary in medium / longer term, fund from SCCF Grant
19
4
Parks & Gardens
5.3.1
Amenities Upgrade - Jubilee Park (Carryover from 2018/19)
Needed to improve service level, fund from SCCF grant
20
3
Parks & Gardens
5.2.2
Canine Water Fountain - Dog Off-Leash Area (Submission)
Needed to maintain service level, fund from general purpose revenue
21
2
Roads & Bridges
8.2.3
Blackspot Works - 1:1 RMS
22
2
Roads & Bridges
8.2.3
23
2
Roads & Bridges
24
2
25
2
26
3
Lower priority but necessary in medium / longer term, fund general purpose revenue
7,690
90,215
0
593,624
200,000
1,700,000
7,690
7,959
8,238
102,974
8,526
8,825
110,308
200,000
9,133
9,453
118,165
9,784
10,126
126,581
10,481 135,597
750,000
750,000
713,300
1,704,250
1,220,500
1,263,250
1,464,000
1,210,150
1,197,500
350,000
345,130
30,000
30,000
30,000
30,000
30,000
62,500
187,500
250,000
250,000
0
3,000,000
6,000,000
3,000,000
3,000,000
339,500
67,000
77,500
27,500
25,500
27,000
24,000
27,000
11,500
22,500
30,000
578,000
71,500
87,000
20,500
86,000
21,500
88,000
39,500
77,000
43,500
43,500
18,800,000
6,000,000
6,800,000
6,000,000
873,733
100,000
80,000
82,400
85,284
88,269
91,358
94,556
97,865
0
67,000
71,500 0
6,000,000
0
100,000
0
154,000 131,700
131,700
25,445
51,782
0
225,350
105,350
0
227,735
39,504
0
389,000
100,000
62,500 0
489,000
62,500
62,500
120,000 42,318
45,332
48,561
52,020
489,000
800,000
800,000
10,000
10,000
50% funded from RMS, priority safety projects with 50% contribution from R2R
0
400,000
Rural Unsealed - Specified Maintenance
Partially funded from FAGS grant road component & general purpose revenue
1,201,885
14,099,773
1,201,885
1,243,950
1,287,488
1,332,550
1,379,189
1,427,461
1,477,422
1,529,132
1,582,651
1,638,044
8.2.3
Reseals Urban
Partially funded from FAGS grant road component & general purpose revenue
423,825
4,972,069
423,825
438,660
454,013
469,904
486,350
503,372
520,990
539,225
558,098
577,631
Roads & Bridges
8.2.3
Reseals Rural
Partially funded from FAGS grant road component & general purpose revenue
856,505
10,048,021
856,505
886,485
917,512
949,625
982,862
1,017,262
1,052,866
1,089,716
1,127,856
1,167,331
Roads & Bridges
4.2.1
Traffic Safety Projects - RMS
RMS funded (50%) + GCC (50%)
884,854
70,350
73,868
77,560
81,438
85,510
89,786
94,276
98,990
103,940
109,137
Roads & Bridges
8.2.3
Kerb & Gutter Renewal
Lower priority but necessary in medium / longer term, fund from general purpose revenue
586,754
101,780
27
3
Roads & Bridges
8.2.3
Guard Rail Construction
Needed to maintain service level, fund from general purpose revenue
3
Roads & Bridges
8.2.3
Road Rehabilitations
Funded from R2R, seen as a priority road maintenance issue
0
29
3
Roads & Bridges
8.2.3
Road Resealing Program
Funded from R2R, seen as a priority road maintenance issue
0
30
3
Roads & Bridges
8.2.1
Walla Ave/Bromley Rd/Kidman Way Southern Bypass (Industrial Link)
Funded from Fixing Country Roads Grant & R2R
0
31
3
Roads & Bridges
8.2.3
Upgrade CBD Roads - Roads/Kerb & Gutter/Drainage
0
32
4
Roads & Bridges
8.2.3
Seal Boorga Road - From New Farms Rd to Dickie Rd
33
5
Roads & Bridges
8.2.3
50/50 Sealing of Roads (Addendum)
34
4
Cultural Services
4.6.1
Griffith Youth & Community Centre (GYCC)
35
6
Other Community Services
4.3.1
New Christmas Decorations/Lighting - Griffith CBD
36
3
City Strategy
2.3.4
Griffith CBD Strategy
37
3
City Strategy
2.3.4
Lake Wyangan Environmental Strategy Implementation
Needed to improve service level, fund from Loan
38
3
City Strategy
8.2.3
New Traffic Counters
39
3
City Strategy
8.2.3
Replace Survey Equipment
40
3
Street Lighting
10.2.2
Additional Lights - General
41
2
Works Management
8.2.3
Miscellaneous Capital Works Replacement Items
42
3
Governance
8.1.17
43
5
Governance
Lower priority but necessary in medium / longer term, fund from general purpose revenue Lower priority but necessary in medium / longer term, fund from general purpose revenue Priority to be determined but necessary in medium / longer term, fund from general purpose revenue
35,175
101,780
28
Needed to improve service level, fund from loan Needed to improve service level, fund from grant, contribution, R2R & partially funded from FAGS grant road component Lower priority but necessary in medium / longer term, fund from general purpose revenue (50%) & private person/entity (50%) Needed to improve service level, fund from grant Lower priority but necessary in medium / longer term, fund from general purpose revenue & Grant (Community Project Funding) Needed to improve service level, fund from Loan & Major Projects reserve
211,740
978,000
26,336
10,000
35,175
588,260
25,445
50,000
0
400,000
109,032
500,000
50,000
100,000
6,444,272
100,000
50,000
5,032,998
7,240,695
5,032,998
2,207,697
3,000,000
1,000,000
1,000,000
7,352,200
5,179,400
2,172,800
116,798
125,116
134,028
50,000
50,000
50,000
50,000
50,000
50,000
50,000
50,000
700,000
800,000
921,707
824,513
824,513
824,513
824,513
624,513
0
1,000,000 5,179,400
50,000
50,000
0
1,095,000
15,000
35,000
730,000
100,000
100,000
3,650,000
1,825,000
50,000
50,000
1,825,000
0
750,000
5,000,000
750,000
750,000
0
1,000,000
2,000,000
1,000,000
1,000,000
0
1,000,000
1,500,000
2,000,000
15,800
33,930
18,130
0
40,000
25,445
298,511
25,445
26,336
27,258
28,212
29,199
30,221
31,279
32,374
40,000 33,507
34,680
Needed to maintain service level, fund from general purpose revenue
12,600
147,816
12,600
13,041
13,497
13,970
14,459
14,965
15,489
16,031
16,592
17,173
Governance Building Asset Maintenance (Capital)
Needed to maintain service level, fund from general purpose revenue
121,000
497,600
121,000
41,000
81,200
65,000
20,000
13,000
81,400
30,000
30,000
15,000
3.1.11
Council Identification Sign & Time Capsule Project
Needed to maintain service level, fund from general purpose revenue
0
25,000
146,800
7,100
17,300
7,600
7,820
8,100
10,000
10,000
25,000
44
5
Administration
3.1.11
Digitising of Council Business Papers (Submission)
Needed to maintain service level, fund from general purpose revenue
45,000
45,000
45,000
45
3
Library
4.4.6
Library Building Asset Maintenance (Capital)
Needed to maintain service level, fund from general purpose revenue
132,500
512,720
132,500
46
3
Library
10.4.1
70kW Solar System - Library Building
Needed to maintain service level, fund from general purpose revenue
0
70,000
47
3
IT Services
3.1.13
Annual PC Replacement/Renewal Program
Needed to maintain service level, fund from general purpose revenue
115,374
1,322,634
115,374
118,835
122,400
126,072
129,854
133,750
137,763
141,895
146,152
150,537
48
3
IT Services
3.1.13
Servers & Network Upgrades
Needed to maintain service level, fund from general purpose revenue
17,380
199,242
17,380
17,901
18,438
18,992
19,561
20,148
20,753
21,375
22,016
22,677
49
3
IT Services
3.1.13
iPad Hardware Replacement
Needed to maintain service level, fund from general purpose revenue
10,000
114,639
10,000
10,300
10,609
10,927
11,255
11,593
11,941
12,299
12,668
13,048
50
3
IT Services
3.1.13
Replace CCTV Systems - Servers & Cameras
Needed to maintain service level, fund from general purpose revenue
10,000
404,000
10,000
30,000
40,000
60,000
35,000
32,000
75,000
52,000
60,000
10,000
51
3
Saleyards
8.1.11
Concrete Construction - Sheep Yard & Pavement Areas
36,722
430,798
36,722
38,007
39,337
40,714
42,139
43,614
45,140
46,720
48,356
50,048
52
3
Saleyards
8.1.11
Shade Structures / Yard Improvements / Signs / Misc
12,855
150,804
12,855
13,305
13,770
14,252
14,751
15,267
15,802
16,355
16,927
17,520
53
3
Saleyards
8.1.11
Refurbish Sheep Loading Ramps
45,000
180,000
45,000
45,000
45,000
45,000
54
3
Saleyards
8.1.11
Saleyard Expansion - Sheep Yards
Needed to maintain service level, fund from general purpose revenue
0
510,000
10,000
100,000
100,000
100,000
100,000
100,000
55
6
Saleyards
8.1.11
Weigh-in System - To Determine Truck Loads
Priority to be determined, fund from general purpose revenue
20,000
20,000
Expenditure required to enable continued service provision, fund from fees and charges generated Expenditure required to enable continued service provision & mitigate WHS concerns raised, fund from fees and charges generated Needed to maintain service level, fund from general purpose revenue
Ten Year Long Term Financial Plan - Annual Review 2019/20
165,500 70,000
20,000
14
56
3
Theatre
4.5.2
Theatre Asset Maintenance (Capital)
Needed to maintain service level, fund from Building Reserve
57
3
Stadium
5.3.4
Stadium Building Asset Maintenance (Capital)
Needed to maintain service level, fund from general purpose revenue
30,720
0
40,000
1,069,350
40,000
135,000
19,630
0
404,600
15,120
0
450,000
0
258,820
30,720
141,100
11,500
12,000
12,300
10,000
13,200
13,000
15,000
58
3
Pioneer Park Museum
8.1.23
Pioneer Park Museum Buildings Asset Maintenance (Capital) Needed to maintain service level, fund from general purpose revenue
78,900
234,900
78,900
12,000
35,000
22,000
29,500
10,500
14,000
33,000
59
3
Aerodrome
8.1.15
Terminal Building Asset Maintenance (Capital)
Needed to maintain service level, fund from general purpose revenue
50,715
182,070
50,715
26,100
11,475
11,900
12,300
12,730
13,200
13,650
60
3
Aerodrome
8.1.15
Renew Kangaroo Fencing
Needed to maintain service level, fund from general purpose revenue
0
300,000
2,000
2,000
2,000
2,000
2,000
61
3
Animal Control
4.4
Pound Building Asset Maintenance (Capital)
Needed to maintain service level, fund from general purpose revenue
50,000
50,000
3
Visitors Centre
8.1.23
Visitors Centre Building Asset Maintenance (Capital)
Needed to maintain service level, fund from general purpose revenue
50,300
139,300
50,300
43,000
32,000
63
3
Senior Citizens Centre
8.1.23
Senior Citizens Centre Building Asset Maintenance (Capital)
Needed to maintain service level, fund from general purpose revenue
26,000
69,000
26,000
13,000
20,000
3
Housing
8.1.23
State Bank House Asset Maintenance (Capital)
Needed to maintain service level, fund from general purpose revenue
65
3
Housing
8.1.17
Installation of Anchor Points on Council Buildings - WHS Issues
Expenditure required to enable continued service provision & mitigate WHS concerns raised, fund from fees and charges generated
66
3
Ranger Services
4.2.2
Replace "Alcohol Free Zone" Signs
Needed to maintain service level, fund from general purpose revenue
0
7,886
3,672
67
3
Parking Areas
8.2.3
Reseal Car Parks (New Expenditure)
Lower priority but necessary in medium / longer term, fund from general purpose revenue
0
303,646
52,672
68
2
Parking Areas
8.2.3
Construct 53 Railway Street Carpark (Griffith)
Needed to maintain service level, fund from general purpose revenue
0
420,000
69
2
Parking Areas
8.2.3
Construct 59 Railway Street Carpark (Griffith)
3
Footpaths & Cycleways
2.3.2
PAMP Implementation
71
3
Footpaths & Cycleways
2.3.2
Cycleways (Reseals & New Paths)
8,000 10,400
Needed to maintain service level, fund from general purpose revenue Needed to maintain or improve accessibility service level, fund 50% from general purpose revenue / 50% RMS Lower priority but necessary in medium / longer term, fund from general purpose revenue (50%) & RMS (50%) Lower priority but necessary in medium / longer term, fund from general purpose revenue Funded from RMS in 2018/19 & general purpose revenue, RMS & contribution from Baiada in 2019/20
0
5,000
2,000
2,000
5,000 8,000
10,400 4,214 56,424
60,443
64,748
69,359
420,000 465,000
465,000
12,723
12,723
287,562
25,446
26,336
27,258
28,212
29,200
30,222
30,222
30,222
30,222
30,222
58,918
58,918
1,382,384
117,836
121,960
126,230
130,648
135,221
139,952
144,851
149,920
155,168
160,598
650,340
55,436
57,376
59,384
61,463
63,614
65,840
68,145
70,530
72,998
75,553
1,500,000
900,000
72
3
Footpaths & Cycleways
8.2.3
CBD Paving Replacement
73
4
Footpaths & Cycleways
2.3.2
Hanwood Cycleway
74
4
Footpaths & Cycleways
2.3.2
Villages Footpaths
Funded from SCCF Grant & general purpose revenue
75
4
Urban Stormwater
8.1.17
Yoogali Levee
Needed to maintain service level, fund from OEH Grant (66.6%) & internal loan from Water Fund (33.4%)
0
2,400,000
76
4
Urban Stormwater
8.1.17
Drainage Improvements-Collina (work completed in 2018/19) Needed to maintain service level, fund from Section 64 Drainage Reserve
0
0
77
4
Urban Stormwater
8.1.17
Drainage Improvements/Replacements
Priority to be determined but necessary in medium / longer term, fund from Stormwater Reserve
78
4
General
8.1.17
Allocation of Wages/Salaries to Capital Works
Allocation of current staff to capital projects
55,436 125,000
450,000
575,000
575,000
22,570
196,000
218,570
218,570
0
63,610
52,048
Total
15,000
50,000
64
70
0
15,000
300,000
62
10,400
5,000
5,854,661
22,409,974
1,312,350
746,254
63,610
65,836
68,141
70,527
72,996
75,552
78,196
80,933
83,766
86,697
590,202
52,048
53,401
54,816
56,296
57,872
59,493
61,218
63,055
64,946
67,057
2,750,000
Total Capital
127,855,732
32,326,985
26,887,462
16,925,837
8,461,977
8,114,641
7,216,033
6,570,073
7,456,698
6,780,237
7,115,789
Infrastructure Backlog
9,132,680
3,171,850
2,580,700
2,367,500
375,500
372,130
54,000
57,000
41,500
52,500
60,000
Improved LOS
23,960,587
9,649,017
8,197,999
3,307,586
2,307,626
77,756
80,477
82,236
84,057
85,941
87,891
Growth Works
22,695,561
10,221,241
6,945,310
2,331,353
416,658
826,435
947,274
181,878
311,325
187,710
326,377
Asset Renewals
72,066,903
9,284,877
9,163,454
8,919,398
5,362,193
6,838,320
6,134,282
6,248,958
7,019,816
6,454,085
6,641,521
Total
127,855,732
32,326,985
26,887,462
16,925,837
8,461,977
8,114,641
7,216,033
6,570,073
7,456,698
6,780,237
7,115,789
2019/20
2020/21
2021/22
127,855,732
32,326,985
26,887,462
16,925,837
Summary Total Capital Expenditure
2022/23
2023/24
2024/25
2025/26
2026/27
2027/28
2028/29
8,461,977
8,114,641
7,216,033
6,570,073
7,456,698
6,780,237
7,115,789
1,304,172
1,014,493
959,187
1,414,079
969,178
1,174,492
New Capital Grant/Contribution Income
45,029,502
22,409,974
13,358,254
1,258,024
1,167,649
1. Council is committed to the expenditure
1
New Loans
18,300,000
2,750,000
6,250,000
7,800,000
1,500,000
2. Projects are essential to keep existing resources engaged or service levels maintained in a key function or infrastructure area
2
Funded by Rates, Fees & Charges or FAGS
58,313,323
5,854,661
6,596,772
6,098,542
5,075,983
6,223,473
5,956,252
5,417,420
5,810,266
5,610,237
5,669,715
3. Will be necessary to continue to provide the required level of service in the future
3
Funded by existing Grants/Loans already accounted for
4
Funded from existing Reserves
5
Funded by Asset/Land Sales
6
Total Capital Spend Funded
Legend
4. Funding has already been secured to complete the project 5. Is necessary expenditure but maybe able to be deferred 6. Project is not essential to providing a service or function
Priority
Current Year Capital Item Requests Not Considered Further Due To Lack Of Funding 79
5
Fleet
Brake Roller Tester-New Workshop
80
5
Fleet
Suspension Shaker-New Workshop
81
5
Fleet
Solar Power System-New Workshop
82
5
Fleet
Walk Behind Scrubber Sweeper-New Workshop
83
5
Fleet
New Tables & Chairs-Amenities Area (Depot)
84
5
City Strategy
85
5
Street Lighting
86
5
IT Services
Investigation of Options for Short Stay Accommodation Upgrade Streetlighting in Benerembah St CCTV Installation-IOOF Park
Rates/
Grants/
Charges/
Contributions
64,569 6,148,338
general general general general general general general general
1,312,350
617,868
1,769,271
718,345
586,996
245,288
193,465
232,352
200,822
271,582
32,326,985
26,887,462
16,925,837
8,461,977
8,114,641
7,216,033
6,570,073
7,456,698
6,780,237
7,115,789
2019/20
2020/21
2021/22
0 127,855,732
Reserves
Loans
Project Total
Fees Lower priority but necessary in medium / longer term, fund from purpose revenue Lower priority but necessary in medium / longer term, fund from purpose revenue Lower priority but necessary in medium / longer term, fund from purpose revenue Lower priority but necessary in medium / longer term, fund from purpose revenue Lower priority but necessary in medium / longer term, fund from purpose revenue Lower priority but necessary in medium / longer term, fund from purpose revenue Lower priority but necessary in medium / longer term, fund from purpose revenue Lower priority but necessary in medium / longer term, fund from purpose revenue Total
64,569
90,000
90,000
90,000
30,000
30,000
30,000
22,000
22,000
22,000
6,000
6,000
6,000
6,000
6,000
6,000
100,000
100,000
100,000
50,000
50,000
50,000
60,000
60,000
60,000
364,000
364,000
364,000
0
0
2023/24
2024/25
2025/26
2026/27
2027/28
2028/29
0
Total Capital Items Not Part of Original 2018/19 Capex Budget
Ten Year Long Term Financial Plan - Annual Review 2019/20
2022/23
0
0
0
0
0
0
0
0
15
0
Longer Term Capital Items Not Considered Further Due To Lack Of Funding 5
Parks & Gardens
88
5
Governance
89
5
Fleet
90
6
Public Cemeteries
91
6
Pioneer Park Museum
92
3
Parks & Gardens
93
3
Parks & Gardens
94
3
Parks & Gardens
Dalton Park Drainage Upgrade
95
6
Parks & Gardens
Unisex Disabled Toilet (In Existing Building) - City Park
96
6
Parks & Gardens
City Entrance Improvement Strategy
97
6
Parks & Gardens
Yenda Memorial Park Enhancement-Submission in 2018/19 by Yenda Progress Association
98
3
Pioneer Park Museum
Dog Off-Leash Area (Collina)
Sewer Connection-Extension Installation of Wi-Fi in the CBD
99
6
Economic Development
100
3
Urban Stormwater
101
3
Urban Stormwater
Rae Rd Drainage Upgrade
Public Cemeteries
Installation of 2 Solar Lights-Infant Section of Griffith Cemetery
102
5
Crook Rd Drainage Upgrade
103
5
Art Gallery
Installation of Storage Space-Shipping Container
104
5
Art Gallery
Display Cases-National Contemporary Jewellery Collection
105
5
Urban Stormwater
106
6
Roads & Bridges
107
6
Economic Development
108
3
Theatre
109
5
Urban Stormwater
110
5
Urban Stormwater
111
5
Urban Stormwater
112
5
Urban Stormwater
113
5
City Strategy
Urban Drainage Problems ("Nuisance Flooding") Rural Sealed - Heavy Patching
Grants/ Contributions
Reserves
Loans
Project Total
Fees
Lower priority but necessary in medium / longer term, fund from general purpose revenue Lower priority but necessary in medium / longer term, fund from general Livestreaming of Council Meetings purpose revenue Lower priority but necessary in medium / longer term, fund from general 2 x New Boom Gates-New Workshop purpose revenue Upgrade Yenda Cemetery Carpark-Submission in 2018/19 by Lower priority but necessary in medium / longer term, fund from general Yenda Progress Association purpose revenue Lower priority but necessary in medium / longer term, fund from general New Signage purpose revenue Installation of Potable Water Supply including Bubbler, Tap & Needed to maintain service level, fund from general purpose revenue Concrete Pad-Dog Off Leash Area New Toilet Block - Dalton Park (Includes demolition of Needed to maintain service level, fund from general purpose revenue existing one)
87
Rates/ Charges/
Needed to maintain service level, fund from general purpose revenue Lower priority but necessary in medium / longer term, fund from general purpose revenue Lower priority but necessary in medium / longer term, possible funding from major projects fund Lower priority but necessary in medium / longer term, fund from general purpose revenue Lower priority but necessary in medium / longer term, fund from fees and charges (50%) & PRMF Grant (50%) Lower priority but necessary in medium / longer term, fund from general purpose revenue Lower priority but necessary in medium / longer term, fund from general purpose revenue Lower priority but necessary in medium / longer term, fund from general purpose revenue Lower priority but necessary in medium / longer term, fund from general purpose revenue Lower priority but necessary in medium / longer term, fund from general purpose revenue Lower priority but necessary in medium / longer term, fund from general purpose revenue Priority to be determined but necessary in medium / longer term, fund from Urban Stormwater Management Reserve once Yambil Street loan repayment is completed in 2019/20
Can only be funded from general purpose revenue if available Lower priority but necessary in medium / longer term, fund from general Signage Strategy Renewal purpose revenue Elevated Work Platform Needed to maintain service level, fund from general purpose revenue Priority to be determined but necessary in medium / longer term, fund from Detention Systems North of CBD general purpose revenue Priority to be determined but necessary in medium / longer term, fund from Urban Drainage Problems Yenda Stage 2, 3A, 3B, 3C, 4, 5 general purpose revenue Priority to be determined but necessary in medium / longer term, fund from Urban Drainage Problems Yoogali Stage 2, 3, 4, 5, 6 general purpose revenue Priority to be determined but necessary in medium / longer term, fund from Urban Drainage Problems Hanwood Stage 1A, 1B, 1C, 2, 3, 4 general purpose revenue Cultural Precent Masterplan Implementation (Includes the Escalated level of service, possible funding from major projects fund Clock Restaurant) Total
2019/20
50,000
50,000
50,000
17,000
17,000
17,000
8,000
8,000
8,000
TBA
0
TBA
6,000
6,000
6,000
15,000
15,000
15,000
250,000
250,000
250,000
390,265
390,265
390,265
50,000
50,000
50,000
100,000
100,000
100,000
TBA
0
TBA
50,000
50,000
25,000
25,000
33,000
33,000
33,000
30,000
30,000
30,000
120,000
120,000
120,000
20,000
20,000
20,000
5,000
5,000
5,000
28,000
28,000
28,000
0
2,383,852
115,763
1,456,048
115,763
2020/21
121,551
2021/22
2022/23
2027/28
2028/29
282,118
291,992
302,212
312,789
323,737
335,067
134,010
140,710
147,746
155,133
162,889
171,034
179,586
439,737
457,344
475,679
494,771
514,653
66,000
36,000 35,631
368,777
1,554,372
368,777
381,684
395,043
408,869
613,000
2,398,000
613,000
633,000
776,000
376,000
421,000
749,000
421,000
328,000
910,000
2,200,000
910,000
600,000
450,000
240,000
2,000,000
3,000,000
2,000,000
1,000,000
15,000
15,000
15,015,168
5,672,435
3,064,234
2,027,031
1,431,456
0
Total Capital Items Not Considered Further Due To Lack Of Funding
Ten Year Long Term Financial Plan - Annual Review 2019/20
2026/27
272,578
35,631
0
2025/26
127,628
36,000
25,000
2024/25
263,360
35,631
5,647,435
2023/24
437,828
16
Items Identified At Strategic Planning Think Tank-Held on 15 December 2016
Item
Department
Linkage to Delivery Program/ Community Strategic Plan
Comments
Project
Estimated Cost
A
Aquatic Facilities
50 Metre Outdoor Pool
Refer item 8
B
Public Cemeteries
New Lawn Cemetery-Rifle Range Road
Refer item 3
1,500,000
C
City Strategy
Central Business District Upgrade & Carpark
Refer items 31, 36
5,000,000
D
Parks & Gardens
City Entrances Improvement Works
Refer item 96
Roads & Bridges
Southern Section Of Industrial Link Road
Refer item 30
4,000,000
Parks & Gardens
Multi Purpose Sports Facility-Secondary Education Option
Refer item 11
18,800,000
E
F Parks & Gardens G
City Strategy
Multi Purpose Sports Facility-Showground Redevelopment (Crown Reserve) Cultural Precincts-War Memorial, Pioneer Park, Clock Building, Art Gallery & Library
5,500,000
33,000
Not in existing 10 Year Capex Program Refer item 113
100,000
H
City Strategy
Lake Wyangan-Walk/Cycle Track & Need for Other Upgraded Refer revised capital expenditure budget in 2018/19. Part of ledger account Facilities 035122.0224.100
I
City Strategy
Hermits Cave Development
Not in existing 10 Year Capex Program
Multi Purpose Community Facilities
Refer items 17, 34
Installation of Solar Energy for Council Owned Buildings & Facilities
Refer item 46
Aged Care Facilities-Need for Public Pathways & Cycleways for Residents & Visitors
Refer items 70, 71, 72, 73, 74
Council Funding For Community Based Improvement Priorities
Not in existing 10 Year Capex Program
J
Parks & Gardens
K
Library
L
Footpaths & Cycleways
M
City Strategy
-
400,000 4,328,000 70,000 3,113,856
N
City Strategy
Affordable Housing Options
Refer to operating budget in 2018/19. Ledger account 054117.0111.100
O
Roads & Bridges
Road Network Maintenance
Grant application lodged & being assessed by RMS. Not in existing 10 Year Capex Program
55,000 -
Ten Year Long Term Financial Plan - Annual Review 2019/20
17
10 Year Capital Works Program Waste Fund Type of Works
Item
Plant 1 Griffith 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17
Project
Linkage to Delivery Program/ Community Strategic Plan
Plant Replacement Program - Waste (Net)
10.3.1
Purchasing a Industrial Litter Vacuum Cleaner Landscaping Landfill Workshop/Tea Room Site New Landfill Engineering & Restoration Piping Existing Open Drain New Landfill Cell Construction Preparation Quarry Floor Existing Landfill Restoration Open Quarry Pit 101 Construct Outbound Weighbridge Bin Replacements 240L Residential Bin Replacements 240L Commercial Bin Replacements 660L Commercial Bin Replacements 1100L Commercial Waste Sundry Tools Signs Extend Council's Communication Network from Weighbridge to Landfill Site Office
10.3.1 10.3.1 10.3.1 10.3.1 10.3.1 10.3.1 10.3.1 10.3.3 10.3.3 10.3.3 10.3.3 10.3.3 10.3.1 10.3.1 10.3.1
Improved LOS
70% 40% 20%
Growth Works
Year 1 Funding Asset Renewal
100% Total Capital
Project Totals
Loans
3
4
5
6
7
8
9
10
2019/20
2020/21
2021/22
2022/23
2023/24
2024/25
2025/26
2026/27
2027/28
2028/29
838,000
3,466,689
838,000
30,000 20,000 60,000 30,000 2,900,000 200,000 2,600,000 400,000 250,000 300,000 125,000 125,000 100,000 100,000 25,000
30,000 20,000 60,000 30,000
90% 90% 90% 90% 60% 60%
30,000 20,000 60,000 30,000 0 200,000 200,000 0 0 30,000 12,500 12,500 10,000 10,000 5,000 300,000
300,000
300,000
11,031,689
Improved LOS
100%
40% 40%
Reserves
2
100% 100% 30% 60% 80% 100% 100% 100% 100% 10% 10% 10% 10%
Grants/ Rates / Charges/Fees Contributions
1
1,758,000
0
570,000
200,000
200,000
250,000
250,000
250,000 400000
250,000
250,000
250,000
250,000
250,000
400,000
30,000 12,500 12,500 10,000 10,000
30,000 12,500 12,500 10,000 10,000 5,000
30,000 12,500 12,500 10,000 10,000
30,000 12,500 12,500 10,000 10,000 5,000
30,000 12,500 12,500 10,000 10,000
250,000 30,000 12,500 12,500 10,000 10,000 5,000
30,000 12,500 12,500 10,000 10,000
30,000 12,500 12,500 10,000 10,000 5,000
30,000 12,500 12,500 10,000 10,000
1,758,000
650,000
1,100,000
802,000
836,000
695,000
657,000
365,689
871,000
3,297,000
644,000
350,000
4,000
6,000
4,000
6,000
4,000
256,000
4,000
6,000
4,000
Growth Works
6,261,000
502,500
456,500
456,500
656,500
256,500
256,500
256,500
256,500
256,500
2,906,500
Renewals
4,126,689
905,500
189,500
637,500
141,500
573,500
434,500
144,500
105,189
608,500
386,500
11,031,689
1,758,000
650,000
1,100,000
802,000
836,000
695,000
657,000
365,689
871,000
3,297,000
11,031,689
1,758,000
650,000
1,100,000
802,000
836,000
695,000
657,000
365,689
871,000
3,297,000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
11,031,689
1,758,000
650,000
1,100,000
802,000
836,000
695,000
657,000
365,689
871,000
3,297,000
11,031,689
1,758,000
650,000
1,100,000
802,000
836,000
695,000
657,000
365,689
871,000
3,297,000
0
0
Total Summary Total Capital Expenditure New Loans Funded from Unspent Loans Funded from Grants/ Contributions Funded from Reserve Funded by Rates, Fees & Charges Total Capital Spend funded
Ten Year Long Term Financial Plan - Annual Review 2019/20
200,000 200,000
30,000 12,500 12,500 10,000 10,000 5,000
77,000
506,000
370,000
77,000
40,689
125,000
541,000
322,000
2,500,000
18
10 Year Capital Works Programme Water Fund Year 1 Funding
Type of Works
Item
Project
Griffith WTP 1 Upgrade (Elec/Mech/Civil) Griffith W.T.P 2 Upgrade Capacity Griffith W.T.P (15Ml) 3 Upgrade Sand Filters & Water T/Plant Griffith Reservoirs 4 Refurbish Reservoir 30Ml (1986) 5 Refurbish Reservoir 14Ml (1977) 6 Refurbish Reservoir 9Ml (1949) 7 Refurbish Reservoir (Scenic Hill)-Raw Water 8 New 15 ML Storage (Scenic Hill) Yenda 9 Upgrade (Elec/Mech) Yenda W.T.P 10 Membrane Replacement/Raw Water Pumps Reticulation Renewals 11 Potable Reticulation Mains Renewals 12 Potable Trunk Mains Renewal 13 Raw Mains Renewals 14 Raw Water Pump Stations 15 Potholing for Forward Design of Water Mains Water Meter Etc Renewals 16 Water Meter Etc Renewals Program 17 New Water Meters/ RPZ's (Purchase) 18 New Water Meters/ RPZ's (Install) 19 Electronic Water Meter Reading Program Mains Extensions - Potable 20 New Reticulation Mains (Potable) 21 Miscellaneous New/Replacement Mains New Trunk Mains 22 New Trunk Mains (Potable) Miscellaneous 23 Replace Elec/ Mech Equip P/Stations 24 Scada/Telemetery System 25 Capital Salaries 26 Plant Replacement Program - Water (Net) 27 Sundry Tools 28 Additional Unforeseen Capital Requirements 29 Investigation & Forward Planning 30 Chlorine Probes Replace 31 Telecommunications Tower at Reservoirs
Linkage to Delivery Program/ Community Strategic Plan 8.1.1 8.1.1 8.1.1 8.1.1 8.1.1 8.1.1 8.1.1 8.1.1 8.1.1 8.1.1
Improved LOS
Growth Works
Asset Renewals
40%
60% 100%
50%
50%
50%
100% 100% 100% 50%
50% 50% 100%
8.1.1 8.1.1
100%
8.1.1 8.1.1 8.1.1 8.1.1 8.1.1 8.1.1 8.1.1 8.1.1 8.1.1 8.1.1
40% 40% 20% 50% 20% 50% 50% 100%
20,000 0 0
Reserves
Loans
Project Totals
120,000 4,150,000 6,000,000
1,500,000
3
4
5
6
7
8
9
10
2019/20
2020/21
2021/22
2022/23
2023/24
2024/25
2025/26
2026/27
2027/28
2028/29
20,000
50,000
50,000
1,500,000
1,500,000
1,500,000
600,000
150,000 1,500,000
4,000,000
177,000 800,000 100,000 100,000 4,000,000
200,000 100,000 100,000
50% 100%
50,000 100,000
100,000 200,000
50,000 100,000
50,000
100% 100% 100% 100% 100%
200,000 540,000 60,000 20,000 20,000
2,938,280 3,348,500 960,000 20,000 200,000
200,000 540,000 60,000 20,000 20,000
538,280 408,500 100,000
300,000 300,000 100,000
300,000 300,000 100,000
300,000 300,000 100,000
100,000 300,000 100,000
300,000 300,000 100,000
300,000 300,000 100,000
300,000 300,000 100,000
300,000 300,000 100,000
20,000
20,000
20,000
20,000
20,000
20,000
20,000
20,000
20,000
100%
75,000 45,000 45,000 0
750,000 450,000 450,000 1,500,000
75,000 45,000 45,000
75,000 45,000 45,000
75,000 45,000 45,000
75,000 45,000 45,000 1,500,000
75,000 45,000 45,000
75,000 45,000 45,000
75,000 45,000 45,000
75,000 45,000 45,000
75,000 45,000 45,000
75,000 45,000 45,000
100%
80,000 20,000
800,000 180,000
80,000 20,000
80,000
80,000 20,000
80,000 20,000
80,000 20,000
80,000 20,000
80,000 20,000
80,000 20,000
80,000 20,000
80,000 20,000
100%
300,000
2,654,000
300,000
714,000
570,000
570,000
65,000 10,000 86,810 222,900 14,000 50,000 10,000 12,500 350,000
65,000 120,000 990,849 2,527,150 149,000 535,000 100,000 50,000 350,000
65,000 10,000 86,810 222,900 14,000 50,000 10,000 12,500 350,000
30,000 89,708 285,000 15,000 50,000 10,000
10,000 92,085 155,750 15,000 50,000 10,000
10,000 94,571 69,000 15,000 55,000 10,000 12,500
10,000 97,219 324,000 15,000 55,000 10,000
10,000 99,941 213,000 15,000 55,000 10,000
10,000 102,840 302,000 15,000 55,000 10,000 12,500
10,000 105,925 230,000 15,000 55,000 10,000
10,000 109,102 362,750 15,000 55,000 10,000
10,000 112,648 362,750 15,000 55,000 10,000 12,500
34,884,779
4,296,210
4,705,488
3,614,835
5,071,071
5,496,219
5,187,941
1,992,340
1,410,925
1,546,852
1,562,898
Improved LOS
6,131,670
1,311,112
879,942
879,917
2,367,664
111,944
112,488
119,318
113,685
114,320
121,280
Growth Works
12,770,925
498,905
920,354
759,043
911,786
4,193,110
4,194,471
695,920
197,463
199,051
200,824
Renewals
15,982,185
2,486,193
2,905,192
1,975,876
1,791,621
1,191,166
880,982
1,177,102
1,099,778
1,233,481
1,240,794
34,884,779
4,296,210
4,705,488
3,614,835
5,071,071
5,496,219
5,187,941
1,992,340
1,410,925
1,546,852
1,562,898
34,884,779
4,296,210
4,705,488
3,614,835
5,071,071
5,496,219
5,187,941
1,992,340
1,410,925
1,546,852
1,562,898
New Loans
0
0
0
0
0
0
0
0
0
0
0
Funded from Unspent Loans
0
0
0
0
0
0
0
0
0
0
0
Funded from Grants/ Contributions
0
0
0
0
0
0
0
0
0
0
0
6,000,000
1,500,000
1,500,000
1,500,000
1,500,000
0
0
0
0
0
0
28,884,779
2,796,210
3,205,488
2,114,835
3,571,071
5,496,219
5,187,941
1,992,340
1,410,925
1,546,852
1,562,898
25%
8.1.1 8.1.1 8.1.1 8.1.1 8.1.1 8.1.1 8.1.1 8.1.1 8.1.1
Grants/ Contributions
2
0 200,000 100,000 100,000 0
100% 25%
Rates / Charges/Fees
1
50% 50%
30% 50%
30%
Total Capital
60% 30% 30% 100% 50% 50% 50% 50%
2,796,210
0
1,500,000
0
Total
177,000
4,000,000
100,000
500,000
Summary Total Capital Expenditure
Funded from Reserve Funded by Rates, Fees & Charges
Ten Year Long Term Financial Plan - Annual Review 2019/20
19
10 Year Capital Works Programme Sewer Fund Year 1 Funding
Type of Works
Item
Project
Linkage to Delivery Program/ Community Strategic Plan
Improved LOS
Growth Works
Asset Renewals
Rates / Charges/Fees
Grants/ Contributions
Reserves
Loans
Project Totals
1
2
3
4
5
6
7
8
9
10
2019/20
2020/21
2021/22
2022/23
2023/24
2024/25
2025/26
2026/27
2027/28
2028/29
Griffith
1
Griffith WRP Membrane Replacement
2
Replacement of GWRP Elec /Mech Equipment
3
Griffith WRP - Various
4 Upgrade of Pump Stations (Civil & Electrical) New Pump Stations 5 Pump Station G21 (Murrumbidgee Av) 6 Pump Station (Farm 12 Collina) 7 Pump Station G32 ( South of GWRP) Yenda 8 Yenda Sewage Treatment Plant Lake Wyangan 9 New Rising Main (G7 To GWRP) 10 Pump Station (LW1, LW2) 11 Trunk Reticulation Sewer Renewals & New Sewers 12 Renewals of Gravity Sewers 13 Renewals of Rising Mains Miscellaneous 14 Upgrade SCADA & Telemetry Systems 15 Plant Replacement Program - Sewer (Net) 16 Purchase Low Pressure Grinder Pumps 17 Miscellaneous - Capital 18 Capital Salaries 19 Sundry Tools 20 Investigation & Forward Planning
-
100%
0
1,900,000
8.1.2
100%
30,000
300,000
30,000
50%
210,000
320,000
100%
100,000
440,000
0 0 0
350,000 450,000 500,000
10,000
50,000
0 0 200,000
900,000 400,000 500,000
200,000
400,000 300,000
100% 100%
100,000 900,000
1,600,000 3,600,000
100,000 900,000
100,000 600,000
100,000 600,000
100,000 600,000
200,000 150,000
200,000 150,000
200,000 150,000
200,000 150,000
200,000 150,000
200,000 150,000
20% 100%
10,000 47,000 0 50,000 57,410 15,000 10,000
140,000 1,354,500 80,000 500,000 655,841 150,000 100,000
10,000 47,000 0 50,000 57,410 15,000 10,000
10,000 94,000 0 50,000 59,382 15,000 10,000
10,000 66,500 10,000 50,000 60,956 15,000 10,000
50,000 259,000 10,000 50,000 62,602 15,000 10,000
10,000 309,000 10,000 50,000 64,354 15,000 10,000
10,000 73,000 10,000 50,000 66,156 15,000 10,000
10,000 22,000 10,000 50,000 68,075 15,000 10,000
10,000 186,000 10,000 50,000 70,117 15,000 10,000
10,000 149,000 10,000 50,000 72,221 15,000 10,000
10,000 149,000 10,000 50,000 74,568 15,000 10,000
14,290,341
1,739,410
1,788,382
3,712,456
1,726,602
Improved LOS
913,168
175,482
80,876
81,191
108,520
76,871
77,231
77,615
78,023
78,444
78,914
Growth Works
3,603,505
237,446
738,629
849,574
550,561
951,612
52,694
53,845
55,070
56,333
57,741
Renewals
9,773,668
1,326,482
968,876
2,781,691
1,067,520
769,871
524,231
483,615
638,023
611,444
601,914
14,290,341
1,739,410
1,788,382
3,712,456
1,726,602
1,798,354
654,156
615,075
771,117
746,221
738,568
14,290,341
1,739,410
1,788,382
3,712,456
1,726,602
1,798,354
654,156
615,075
771,117
746,221
738,568
New Loans
0
0
0
0
0
0
0
0
0
0
0
Funded from Unspent Loans
0
0
0
0
0
0
0
0
0
0
0
Funded from Grants/ Contributions
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
14,290,341
1,739,410
1,788,382
3,712,456
1,726,602
1,798,354
654,156
615,075
771,117
746,221
738,568
8.1.2
50%
8.1.2 8.1.2 8.1.2 8.1.2
100% 100% 100%
8.1.2
100%
8.1.4 8.1.4 8.1.4
100% 100% 100%
8.1.2 8.1.2 8.1.1 8.1.2 8.1.2 8.1.2 8.1.2 8.1.2 8.1.2
80% 100% 80% 20% 40% 50%
60% 20%
20% 20% 40% 50%
Total Capital
1,739,410
0
0
0
Total
1,900,000 30,000
30,000
30,000
30,000
30,000
30,000
30,000
30,000
30,000
210,000
20,000
20,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
100,000
100,000
30,000
30,000
30,000
30,000
30,000
30,000
30,000
30,000
350,000 450,000 500,000 10,000
10,000
10,000
10,000
10,000
900,000
1,798,354
654,156
615,075
771,117
746,221
738,568
Summary Total Capital Expenditure
Funded from Reserve Funded by Rates, Fees & Charges
Ten Year Long Term Financial Plan - Annual Review 2019/20
20