Orange County NC Website
Water & Sewer Utilities Capital Projects Summary - RECOMMENDED <br />Fiscal Years 2013 -18 <br />Total 4,811,146 1 896,250 5,536,000 2,500,000 185,000 150,000 <br />General Fund Related Operating Costs <br />Personnel Services <br />Operations <br />New Debt Service 489,282 534,714 949,594 1,149,594 1.149.594 <br />Total Operating Costs <br />Current <br />Year 1 <br />Year 2 <br />Year 3 <br />Year 4 <br />Year 5 <br />Five <br />Year 6 <br />Fiscal Year <br />Fiscal Year <br />Fiscal Year <br />Fiscal Year <br />Fiscal Year <br />Fiscal Year <br />Year <br />to <br />Projects <br />2012 -13 <br />2013 -14 <br />2014 -15 <br />2015 -16 <br />2016 -17 <br />2017 -18 <br />Total <br />Year 10 <br />Appropriations <br />General Fund - Debt Service Payments <br />148,798 <br />194,230 <br />194,230 <br />194,230 <br />Article 46 Sales Tax - Debt Service <br />Efland /North Buckhorn Sewer Expansion <br />- <br />340,484 <br />755,364 <br />955,364 <br />Reserve Funds - Article 46 Sales Tax <br />- <br />McGowan Creek Outfall <br />134,200 <br />621,250 <br />- <br />621,250 <br />EPA Special Appropriations Grant <br />Lake Orange Capital Maintenance <br />69,300 <br />State Revolving Loan Funds <br />134,200 <br />- <br />Buckhorn- Mebane EDD Phase 2 <br />4,256,046 <br />Debt Financing - Article 46 Sales Tax <br />4,256,046 <br />5,186,000 <br />2,500,000 <br />- <br />Total <br />Buckhorn- Mebane EDD Phase 3 & 4 <br />1,385,532 <br />6,070,714 <br />350,000 <br />2,500,000 <br />2,850,000 <br />Efland Sewer Flow to Mebane <br />151,600 <br />160,000 <br />3,436,000 <br />3,596,000 <br />Richmond Hills Pump Station Rehab <br />185,000 <br />185,000 <br />Hillsborough EDD <br />150,000 <br />150,000 <br />1,000,000 <br />Eno EDD <br />200,000 <br />115,000 <br />1,750,000 <br />1,865,000 <br />Total 4,811,146 1 896,250 5,536,000 2,500,000 185,000 150,000 <br />General Fund Related Operating Costs <br />Personnel Services <br />Operations <br />New Debt Service 489,282 534,714 949,594 1,149,594 1.149.594 <br />Total Operating Costs <br />489,282 <br />534,714 <br />949,594 <br />1,149,594 <br />Revenues /Funding Source <br />Transfer from General Fund <br />420,900 <br />275,000 <br />350,000 <br />Transfer from Other Projects <br />General Fund - Debt Service Payments <br />148,798 <br />194,230 <br />194,230 <br />194,230 <br />Article 46 Sales Tax - Debt Service <br />340,484 <br />340,484 <br />755,364 <br />955,364 <br />Reserve Funds - Article 46 Sales Tax <br />185,000 <br />County Capital Fund Balance <br />- <br />EPA Special Appropriations Grant <br />State Revolving Loan Funds <br />134,200 <br />621,250 <br />Debt Financing - Article 46 Sales Tax <br />4,256,046 <br />5,186,000 <br />2,500,000 <br />Total <br />4,811,146 <br />1,385,532 <br />6,070,714 <br />3,449,594 <br />1,334,594 <br />The Water & Sewer Utilities Fund accounts for revenues and expenses related to the provision of sewer service <br />778 1 5.747.970 <br />150,000 775,000 <br />194,230 925,718 971,150 <br />955,364 3,347,060 4,776,820 <br />185,000 <br />621,250 <br />7,686,000 1,000,000 <br />n <br />