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Enterprise Fund Revenues

RIVERTON CITY, UTAH

COMPREHENSIVE ANNUAL FINANCIAL REPORT FOR THE FISCAL YEAR ENDED JUNE 30, 2021 Statistical Section – Revenue Capacity (continued)

ENTERPRISE FUND REVENUES – LAST TEN FISCAL YEARS – RIVERTON CITY CORPORATION, UTAH

Culinary water sales Culinary impact fees Secondary water sales Secondary impact fees Other water revenue Sanitation Storm water Storm water impact fees Street lighting

Totals 2012 2013 2014 2015 2016 Fiscal Year 2017 2018 2019 2020 2021

3,707,317$ 3,612,778$ 3,599,506$ 3,601,263$ 4,739,165$ 5,097,470$ 4,876,447$ 4,863,489$ 5,059,813$

5,365,468$ 228,311 270,836 369,637 354,869 1,194,097 817,338 588,466 774,717 213,488 315,624 3,273,796 3,360,386 3,484,108 3,547,103 3,572,673 3,544,669 3,603,839 3,098,334 3,140,151 3,231,084 276,489 345,427 330,914 316,401 569,629 698,115 571,846 327,840 443,851 551,347 100,782 120,905 118,744 94,428 114,036 263,771 186,953 110,454 99,190 138,724 994,156 434,340 451,660 481,165 498,190 493,578 513,945 1,168,160 1,223,646 1,475,442 746,571 772,055 805,095 1,128,330 1,249,279 1,272,047 1,324,230 1,374,821 1,368,344 1,419,434 114,191 115,071 286,763 304,437 426,508 629,198 408,333 249,155 351,164 213,072 339,869 523 - - - - - - -

$ 9,781,482 $ 9,032,321 $ 9,446,427 $ 9,827,996 $ 12,363,577 $ 12,816,186 $ 12,074,059 $ 11,966,970 $ 11,899,647 $ 12,710,195

Note: Other water revenue includes meter set fees and connection fees Sanitation user fee was reduced from $12.50 to $1.00 a month for each first container as of January 1, 2012; this fee was increased to $5.00 a month in 2019 and $6.00 a month in 2020 Street lighting user fee was eliminated, and the operations were absorbed into the General Fund as of January 1, 2012

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