2021-25 Capital Improvement Plan
CITY OF SHAKOPEE BUILDING INTERNAL SERVICE FUND CASH FLOW ANALYSIS (Fund 7810) Last Updated: 8/18/2020
2018 Actual
2019 Actual
2020 Projected 2021 Projected 2022 Projected 2023 Projected 2024 Projected
2025 Projected
Revenue
Rental Charges Cost Sharing Intergovernmental
$
579,400
$
1,037,000
$
1,084,200
$
1,086,500
$
1,108,230
$
1,130,395
$
1,153,003
$
1,176,063
- -
- -
-
-
- - -
- - -
- - -
- - -
100,000
16,950,000
Miscellaneous
932,855 46,313
60,000 196,100
-
-
Interest
82,201 50,000
84,638 50,000
80,627 50,000
82,963 50,000
76,357 50,000
69,292
Interfund Loan - EDA (Gas Station Purch
- -
-
- -
Transfer In
2,084,504 3,377,604
-
-
-
-
-
Total Revenues
1,558,568
1,316,401
18,171,138
1,238,857
1,263,358
1,279,360
1,245,355
Expenditures
Innovation Center/Incubator Public Works - Improvements Ice Arena - Improvements Sand Venture - Improvements Community Center - Improvements Fire Station 1 - Improvements Fire Station 2 - Improvements
- - - - - - - - - - - - -
-
100,000
16,950,000
- - - -
-
-
- -
33,391 90,691 29,922 41,829 101,607
- -
846,000
450,000
100,000
- - -
-
-
150,000
208,200 125,000 125,000
240,000 100,000 200,000 20,000
300,000
-
200,000 268,000 30,000
- - - -
113,000 250,000 250,000 50,000 180,000 90,000 -
75,000 18,000
- - - - - -
- - - - - -
Fire Station 3
- -
-
-
Police Library
20,000 90,000
90,000 130,000
60,000 18,000 800,000
11,600
40,000 33,000
500 Gorman Street
- -
- -
Park Building - Improvements
-
-
7,000
Misc. Improvements
50,000
50,000
50,000
50,000
50,000
50,000
Interfund Loan - Principal Interfund Loan - Interest
60,000 20,625 154,361 50,000
50,000 19,250
-
- - - - -
- - - - -
- - - - -
- - - - -
- - - - -
17,875
Capital Outlay
-
- -
Transfers - Capital Improvements Transfers - Park Development
50,000
-
-
100,000 300,000 127,875
Transfers - Debt Service
420,000
300,000
300,000 126,500
300,000 125,125
300,000 123,750
300,000 122,375
300,000 121,000
Interfund Loan - Storm Water (CH Cons
- -
-
20,413 748,703
-
-
-
-
-
-
Other
Total Expenditures
704,986
1,153,950
18,438,500
1,083,125
1,703,750
1,750,375
1,561,000
Excess (deficiency) of Sources over Uses
$
853,582
$
2,628,901
$
162,451
$
(267,362)
$
155,732
$
(440,392)
$
(471,015)
$
(315,645)
Cash Balance- January 1
1,998,611 $
$
2,852,193
$
5,480,066
$
5,642,517
$
5,375,155
$
5,530,887
$
5,090,495
$
4,619,481
Changes in Accruals
-
(1,028)
-
-
-
-
-
-
Revenues
1,558,568 (704,986)
3,377,604 (748,703) 5,480,066
1,316,401 (1,153,950) 5,642,517
18,171,138 (18,438,500)
1,238,857 (1,083,125) 5,530,887
1,263,358 (1,703,750) 5,090,495
1,279,360 (1,750,375) 4,619,481
1,245,355 (1,561,000) 4,303,836
Expenditures
Cash Balance - December 31
2,852,193 $
$
$
$
5,375,155
$
$
$
$
Notes: 2020 Building Projects 1) SandVenture critical maintenance items awarded for $208,200 (City Council action 8/18/2020) 2) Removed Fire Station #3 from project list
137
Made with FlippingBook - Online magazine maker