<br /> ~ ~ <br /> SF Fund Split <br /> ~ebruary 13, 2005 <br /> 1 <br /> YO Bud et item to allocate <br /> eginning Working apital $148,947 <br /> nterest Earnings $8,000 <br /> SA $640,000 <br /> FY05 EE <br /> En ineerin PWM/POS PW De t. Facilities Total <br /> /~Ilocated Beginning Working Capital <br /> evenue: <br /> 43527 - Stat EAIP Reimbursement $2,370 $0 $2,370 $0 $2,370 <br /> 45583 -Prof ssional Charges-Pub Wks $4,430,941 $917,545 $5,348,486 $1,357,855 $6,706,341 <br /> 45182 - Printi g Charges $3,000 $0 $3,000 $0 $3,000 <br /> 45577 - Engi Bering Fees-Contractors $220,000 $0 $220,000 $0 $220,000 <br /> ~ 45579 - Testi g Service Charges $50,000 $0 $50,000 $0 $50,000 <br /> 45604 - As- nstruct/Warranty Insp Fees $16,180 $0 $16,180 $0 $16,180 <br /> 47110 -Inter t On Investments $0 $0 $0 $0 $0 <br /> Total Projecte Revenue $4,722,491 $917,545 $5,640,036 $1,357,855 $6,997,891 <br /> E enditures: <br /> 26 -Facilities $0 $0 $0 $1,211,607 $1,211,607 <br /> 89 - Administr tion $119,398 $0 $119,398 $0 $119,398 <br /> ~ 91 -Airport $31,131 $0 $31,131 $0 $31,131 <br /> 93 - Engineeri g $4,056,288 $0 $4,056,288 $0 $4,056,288 <br /> ~ 94 - Maintena ce $0 $87,110 $87,110 $0 $87,110 <br /> ~I 96 - POS $0 $781,341 $781,341 $0 $781,341 <br /> 99 -Non Depa . (CSA) $435,200 $64,000 $499,200 $140,800 $640,000 <br /> ~ Total Expendit res $4,642,017 $932,451 $5,574,468 $1,352,407 $6,926,875 <br /> Projected Endi g Working Capital $181,332 $0 $181,332 $38,631 $219,963 <br /> Yq5 Budget: <br /> Interest Eamin s (based on budget) $5,440 $800 $6,240 $1,760 $8,000 <br /> Y~6 Projected: <br /> Interest Eami s (per schedule from fund bal.) $0 $0 $0 $0 $0 <br /> CSA $296,480 $43,600 $340,080 $95,920 $436,000 <br /> I <br /> i <br /> Allocations are base on a 5 year average <br /> Engineering 68% <br /> II POSlPWM 10% <br /> Facilities 22% <br /> Total 100% <br /> 1 <br /> li <br /> i <br /> i <br /> i <br /> ' <br /> <br />