2021-25 Capital Improvement Plan
CITY OF SHAKOPEE, MINNESOTA Information Technology Internal Service Fund Cash Flows Updated 8/18/2020
2020 Projected
2021 Projected
2022 Projected
2023 Projected
2024 Projected
2025 Projected
2018 Actual 2019 Actual
Sources
Rental Charges
$
400,900
$
420,900 25,816 446,716
$
611,300
$
612,000
$
624,240
$
636,725
$
649,459
$
662,448
Investment Income
9,375
7,390
8,053
8,066
8,997
9,840
8,657
Total Revenue
410,275
618,690
620,053
632,306
645,722
659,299
671,105
Uses IT Operationals Expenses Computer Replacements
-
33,304 69,637 219,177 41,154 24,500 18,917
36,000 65,000 200,000 80,000 35,000 25,000 50,000 30,000 30,000
37,000 65,000 225,000 75,000 40,000 25,000
38,000 70,000 235,000 75,000 45,000 25,000
39,000 70,000 235,000 80,000 50,000 25,000 35,000 30,000 200,000 764,000 -
40,000 75,000 240,000 80,000 55,000 25,000
40,000 75,000 240,000 85,000 55,000 25,000
227,840 188,926
Software Purchases and Maintenance
Logis Services
- -
General Consulting Services
Printer Replacement
20,004
Fiber Redundancy Improvements
- - - -
4,210
-
-
-
-
Building Security
- - -
30,000 30,000
30,000 30,000
35,000 30,000
35,000 30,000
Network Device Replacement Server/SAN Replacement
-
-
-
-
-
Total Expenditures
436,770
410,899
551,000
527,000
548,000
580,000
585,000
Net
$
(26,495)
$
35,817
$
67,690
$
93,053
$
84,306
(118,278) $
$
79,299
$
86,105
Cash Balance- January 1
$
729,637
$
703,142
$
738,959
$
806,649
$
899,702
$
984,008
$
865,730
$
945,029
Cash Balance December 31
$
703,142
$
738,959
$
806,649
$
899,702
$
984,008
$
865,730
$
945,029
1,031,135 $
124
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