2024-28 Capital Improvement Plan

10,000,000

Sanitary Sewer ‐ Cash Flow

8,000,000

6,000,000

4,000,000

2,000,000

‐

2022 Actual

2023 Projected

2024 Projected

2025 Projected

2026 Projected

2027 Projected

2028 Projected

Capital Outlay

Cash and Cash Equivalents December 31

207

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