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R95-121 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 RESOLUTION NO. A RESOLUTION OF THE CITY COMMISSION OF THE CITY OF BOYNTON BEACH, FLORIDA, RATIFYING ACTION OF THE SOUTH CENTRAL REGIONAL WASTE WATER TREATMENT AND DISPOSAL BOARD REGARDING EXPENDITURES FROM THE REPAIR AND REPLACEMENT FUND AND ACCEPTANCE OF THE 1995/96 BUDGET; PROVIDING AN EFFECTIVE DATE. WHEREAS, the South Central Regional Waste Water Treatment and Disposal Board has requested ratification of approvals of that Board made July 20, 1995; and WHEREAS, the City Commission deems it in the best interest of all concerned parties to ratify the Board's action. NOW, THEREFORE, BE IT RESOLVED BY THE CITY COMMISSION OF THE CITY OF BOYNTON BEACH, FLORIDA, THAT: Section 1. The City of Boynton Beach hereby ratifies the following action by the South Central Regional Waste Water Treatment and Disposal Board: A. $1,147.96 expenditure from repair and replacement fund. B. $1,500.00 expenditure from repair and replacement fund. 'C¥ _~.$3,500.00 expenditure from repair and replacement fund. D. Acceptance of the 1995/96 Budget, Capita~ Projects, Capital Assets, Repair and Replacement and S~rplus Fund expenditures. Section 2. This Resolution shall become effective immediately upon its passage and adoption. PASSED AND ADOPTED BY THE CITY COMMISSION OF THE CITY OF BOYNTON BEACH, FLORIDA, THIS ATTEST: CIty CLERK JAC/tms 8/9/95 900182.BB TREATMENT DAY OF /~~7- CITY OF BOYNTON BEACH BY: Mayor Vi r Com~ , 1995. F~ORIDA Page 1 of 2 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 I HEREBY CERTIFY that I have approved the form of this RESOLUTION CITY ATTORNEY JAC/[ms 8/9/95 900182.BB TREATMENT Page 2 of 2 RATIFICATION OF SOUTH CENTRAL REGIONAL WASTEWATER TREATMENT AND DISPOSAL BOARD ACTION OF JULY 20, 1995 WHEREAS, the South Central Regional Wastewater Treatment and Disposal Board did on- July 20, 1995, by a vote of 8-0, approve to expend ;~I, 147.96 from Repair and Replacement Fund to Replace Existing Paco Pump for Reuse Water System in Old Effluent Building. WHEREAS, said Board action requires ratification by the City of Boynton Beach and the City of Delray Beach. NOW, THEREFORE, the City of Boynton and the City of Delray Beach hereby ratify said Board action independently. The above action is hereby ratified in open session by the City of Boynton Beach this ?,~ day of ~/__~,~/_~ , /p;~', by a ,~--~ vote. CITY OF BOYNTON BEACH Mayor A ttest:~ City Clerk Approved as to form: City Attorney RATIFICATION OF SOUTH CENTRAL REGIONAL WASTEWATER TREATMENT AND DISPOSAL BOARD ACTION OF JULY 20. 1995 WHEREAS, the South Central Regional Wastewater Treatment and Disposal Board did on July 20, 1995, by a vote of 8-0, approve to expend ~1,500 from Repair and Replacement Fund to Replace Drive Disc for #2 RAS Pump -B Plant. WHEREAS, said Board action requires ratification by the City of Boynton Beach and the City of Delray Beach. NOW, THEREFORE, the City of Boynton and the City of Delray Beach hereby ratify said Board action independently. The above action is hereby ratified' in open session by the City of Boynton Beach this /,~- day of ~_~,~.~.~' ,/~,~-, by a ~--~ vote. CITY OF BOYNTON BEACH By: Mayo~// Attest: ~J/~-~'~-~_~~ City Clerk Approved as to form: / Cit~Y ~"~orney RATIFICATION OF SOUTH CENTRAL REGIONAL WASTEWATER TREATMENT AND DISPOSAL BOARD ACTION OF JULY 20, 1995 WHEREAS, the South Central Regional Wastewater Treatment and Disposal Board did on July 20, 1995, by a vote of 8-0, approve to expend ;~3,500 from Repair and Replacement Fund to Repair 8oynton Influent Flow Meter. WHEREAS, said Board action requires ratification by the City of Boynton Beach and the City of Delray Beach. NOW, THERE=FORE, the City of Boynton and the City of Delray Beach hereby ratify said Board action independently. The above action is hereby ratified in open session by the City of Boynton Beach this /~' day of ~.~_~ , /~, by a ,.~-~,' vote. CITY OF BOYNTON BEACH By: . ;~yo '//~ Attest: ~--~. ,~~~ ~ City Clerk Approved as to form: .~J City' Attorney RATIFICATION OF SOUTH CENTRAL REGIONAL WASTEWATER TREATMENT AND DISPOSAL BOARD ACTION OF JULY 20, 1995 WHEREAS, the South Central Regional Wastewater Treatment and Disposal Board did on July 20, 1995. by a vote of 8-0, approve the Acceptance of 1995/96 Budget, Capital Projects, Capital Assets, Repair and Replacement and Surplus Fund Expenditures. WHEREAS, said Board action requires ratification by the City of Boynton Beach and the City of Delray Beach. NOW, THEREFORE, the City of Boynton and the City of Delray Beach hereby ratify said Board action independently. The above action is hereby ratified in open session by the City of Boynton Beach this /~ day of 4~_z~.~f , /~,~,~, by a ~-~ vote. CITY OF BOYNTON BEACH By: MayO~ ,~ ~ City Clerk Approved as to form: J~ C~t~/Attorney CENTRAL REGIONAL WASTEWATER TREATMENT AND DISPOSAL BOARD PERSONNEL ,CCT. NO. ACCOUNT TITLE 1212 REGULAR WAGES 12121 SICK PAY REDUCTIONS DESCRIPTION Base wages - 23 Employees 4 Administrative 4 Lab & pretreatment 10 Operations 5 Maintenance Includes merit pay increase + $5,000 holiday pay. Employees have the annual option to cash out (at 50% payment) all sick days in excess of fifteen (15) accrued in sick day bank. 1995-96 BUDGET $812,000 3,000 12122 PAYROLL CONTINGENCY 1214 OVERTIME 12151 EMPLOYEE ASSISTANCE PROGRAM 12152 PLANT PERFORMANCE Employee annual appreciation dinner and luncheons (i.e.: retirements, recognitions, and safety awards). Shift coverage as required for plant operations. Employees working over 40 hours per week (excluding sick hours) are paid at time and a half. 12141 Hurricane Watch 12142 Maintenance 12143 Shift 1 Coverage 12144 Shift 2 Coverage 12145 Shift 3 Coverage 12146 Training 12147 Administration 12148 Holiday Coverage 12149 Lab/Pretreatment 12150 Operations Board cost: $2.15 per em ployee per month. Provides family counseling and referral services to employees and their families. Award given to those employees whose performance has contributed to overall efficiency of Plant as recom mended by Executive Director and approved by the Board.. 1221 SOCIAL SECURITY/ Employer's cost: Social Security - 6.2% MEDICARE Medicare - 1.45% 1223 BLUE CROSS/BLUE SHIELD HEALTH INSURANCE DENTAL INSURANCE 2231 Board cost per employee is estimated ~ $225.00 monthly. (Dependent coverage not provided by Board). Board cost per employee: $25.88 monthly (Dependent coverage not provided by Board). 3,000 5,000 7,000 4,000 5,000 2,000 1,000 13,000 1,000 1,000 1,500 42,000 750 10,000 62,000 62,000 7,500 ACCT. NO; --'2232 12233 1224 1225 1236 ACCOUNT_ _ TITLE DISABILITY INSURANCE LIFE INSURANCE WORKERS' COMPENSATION UNEMPLOYMENT PENSION TOTAL PERSONNEL DESCRIPTION Long term disability insurance provided by the Board at approximately 1% of 40 hour base pay per employee. Cost: $0.95/$100.00 compensation. Board provides $10,000 life insuranceu $.32 per $1,000. Cost per employee based on a 40 hour base pay. Wages applicable to unemployment taxes at current rate of .0110% Defined' Board contribution based on 40 hours base pay for participants. 1995-96 BUDGET_ 6,000 1,000 50,000 10,000 77,000 $1,144,750 OPERAI"iNG EXPENSES: SERVICES; MAINTENANCE; CHEMICALS & SUPPLIES SERVICES CCT. NO: ACCOUNT TITLE DESCRIPTION 1995-96 BUDGET 3100 3110 MEDICAL SERVICES LEGAL (ADMIN & LABOR) 3112 LEGAL (TOXICITY) 3120 3200 ~oo 3402 3404 SERVICES: General & Administrative, Professional, & Maintenance AUDIT FEES PRETREATMENT PROGRAM TOXICITY TESTING SLUDGE, LIQUID, CHEMICAL ANALYSIS TESTING Employee physicals, drug .screens, tetanus and Hepatitis B vaccine. Attorney fees: 31101 Admin - Feders piel 31103 Pension - August & Comiter 31104 Lewis, Longman & Walker Continuing Operational Permit Legislation 31121 Federspiel 31125 Lewis, Longman & Walker 31201 Accounting & Bookkeeping 31202 Computer Consultant 31203 Lobbyist 31206 Copier Maint. Contract 31207 Appraisal Fee 31208 Others 32001 Annual Audit Monitoring of program; required quarterly effluent; influent and sludge priority pollutant scans. EPA/DER: Discharge permit will require bimonthly acute toxicity testing ($25,000) & quarterly chronic toxicity testing ($10,000) (1) fecal, copper, and cyanide - monthly; (6) heavy metals. (2) grease samples and 1 distilled water yearly $25,000 2,000 13,000 1,000 4,000 10,000 2,000 5,000 2,000 5 000 2,000 20,000 $5,500 40,000 5,000 26,000 20,000 9,000 35,000 5,000 3406 3410 3411 METER CALIBRATION FLORIDA SERVICE SLUDGE HAULING GRIT HAULING Calibration of transmitters, totalizers, recorders, and flowmeter pump as required. $22.00/1,000 gallons hauled. Est. 8 to 9 loads per day average. 75 trips @ $495.00 per trip. 6,000 350,000 38,000 OPERATING EXPENSES: SERVICES; MAINTENANCE; CHEMICALS & SUPPLIES (cont.) SERVICES ~CT. NO. ACCOUNT TITLE _DESCRIPTION 3412 TRASH AND HAULING $58.00 per month plus additional tipping fee for trash hauling. 1995-96 BUDGE? 2,000 3500 SERVICES: Operations, Maintenance, & Professional TOTALSERVICES 35001 Centrifuge 35002 Air Scrubbers 35003 Generators 35004 Lawn Maintenance 35005 Admin. Building Cleaning 35006 Lab Equipment Calibration 35008 Other 15,000 2,000 3,000 30,000 8,000 1,000 1,000 60,000 $601,500 'OFERATING EXPENSES: SERVICES; MAINTENANCE; CHEMICALS & SUPPLIES OPERATIONS/MAINTENANCF CCT. NO; ACCT. TITLE DESCRIPTION 4000 VEHICLE EXPENSE Lease vehicle; Mileage reimbursement $0.20/mile; Fuel for 2 pickup trucks and I leased automobile. 40001 Leased Vehicle 40002 Mileage Reimbursement 40003 Fuel for Vehicles 4020 4100 4400 500 BOARD CONTINGENCY TELEPHONE EXPENSE EQUIPMENT RENTAL INSURANCE EXPENSE 4600 M & R EQUIPMENT Public relations, good will tours, floral arrangements or fruit baskets, cards for illnesses or funerals, and miscellaneous business expenses: 40201 Board Expense: Appreciation 40202 Board Expense: Meals and Entertainment 40204 Board Expense: Travel, Lodging Monthly base fees and long-distance usage including Fax machine and I cellular phone. Cranes, various equipment, and instru- ments as required in maintenance and operations. $4,000 1,000 3,000 1,000 1,000 1,000 45001 Property Liability Package 50,000 45002 Vehicle Insurance 7,D00 45003 Public Officials and Employees 8,000 Liability 45004 Fidelity and Public Officials Bond 1,000 45005 Pollution Liability 35,000 45006 Boiler & Machinery 6,000 Annual repair items for pumps and plant equipment: 46001 Influent Building 4,000 46002 Aerators 1,000 46003 Blower Building 6,000 46004 Scrubbers 2,000 46005 Clarifier 2,000 46006 Return Building 5,000 46007 Chemical Building 7,000 46008 Chlorination 3,000 46009 EQ Building 3,000 46010 Effluent Building 3,000 46011 Shop Building 1,000 46012 Office Building 2,000 46013 Dechlorination 1,000 46014 Miscellaneous 5,DO0 1995-96 BUDGET $8,000 3,000 12,000 3,000 107,000 45,000 OPERATIONS/MAINTENANCE (cont.) 1995-96 ACCT. NO. ACCT. TITLE DESCRIPTION _BUDGET_ 462O 463O 4640 4650 4900 4902 524O M & R VEHICLES M & R GROUNDS M & R BUILDINGS M & R UNSPECIFIED ADVERTISING LICENSES AND PERMITS UNIFORMS Annual repairs fOr vehicles: 46201 Trucks and Tractor 46202 Leased Auto 46203 Service Carts 46204 Boom Truck 46205 Other Landscaping, sprinkler systems, retention ponds, piping, fertilizer, etc. Painting, Repair or replacement of doors, screens, locks, windows, ceiling tiles, electrical, plumbing, and lighting. Funds for emergency or unidentified equipment deficiencies that require upgrade or Improvement in operation. Advertisement and legal ad allowance related to plant operation or bids and public notices. STATE Lab Certification Operating Permit Storage Tank PALM BEACH COUNTY Operators' Licenses Air Pollution Licenses Wellfield Permit Storm Water Tags on Trucks CITY & SPECIAL DISTRICT Solid Waste Assessment Special District Fee Other Board participates 50% in uniform rental. Board cost: $3.75/week. Cost to purchase 7 pants and 7 shirts provided on a one-time basis cost of $225.00 per employee. (Provides 3 new sets each year: $100.00). Annual work shoe allowance: $75.00 per employee per year. Annual prescription Safety Glasses: $75.00. 2,000 500 3,000 3,000 500 400 7,500 100 8,000 2,150 100 350 1,150 100 3,850 3OO 175 675 1,150 9,000 3,000 5,000 20,000 13,000 6,000 'OPERA~IONS/MAINTENANCE (cont.) ACCT. NO. ACCT. TITLE DESCRIPTION 1995-96 BUDGET ~400 5410 5420 MEMBERSHIP DUES AND SUBSCRIPTIONS TECHNICAL TRAINING EDUCATIONAL EXPENSES TOTAL OPERATIONSIMAINT. Dues - Professional organizations (FWPCOA, WPCF, AMSA). Professional Registration Journals, Newspapers, Personnel, and Human Resources subscriptions and Dues. Operational subscriptions and Dues; Safety Council. Operators' Short Schools, Regional schools, Lab Technical, and Quality Assurance Short Schools; Personnel Seminars; Computer Classes; WPCF Convention; Technical Schools; Annual Conference. 54101 Conferences 54102 Meals 54103 Travel & Lodging Classes, books, and fees. 4, D00 1,000 5,000 3,000 10,000 2,000 $250,000 OPERATING EXPENSES: SERVICES; MAINTENANCE; CHEMICALS & SUPPLICS_ CHEMICALS AND SUPPLIER iCCT. NO. ACCOUNT TITLE · ~300 ELECTRICITY 4302 WATER CONSUMPTION 5100 OFFICE SUPPLIES 5201 SAFETY SUPPLIES DESCRIPTION $0~ 045 per KWH including surcharge for peak usage. Budgeted for 1,000,000 gallons monthly @ $1.45 per 1,000 gallons (estimate). Annual projection: Postage, copier paper, stationery, business cards, check printing, general office supplies, & necessities. Gloves, protective glasses, face shields, hearing protection, overboots, ear-plugs, muffs, emergency eye wash station, emergency showers, cartridge respirators, gas cartridge, sterile storage bags for resp- irators, disinfection systems for respirators, fit test ampoules, respirator storage cabinets, disposal respirators, chemical spill absorb- ents, oil sorbent, liquid chemical neutralizers, barricade tape, hazardous materials response kit, salvage drum, diffusion detector tubes, signs, labels, tags, first aid supplies, fire extinguishers and accessories, hazardous area lights, emergency small tools, safety charts, books. 1995-96 BUDGET $450,000 14,500 7,000 5,000 202 GENERAL OPERATING SUPPLIES 5203 5204 JANITORIAL SUPPLIES LABORATORY SUPPLIES 5210 CHEMICALS Operating supplies, raingear, hard-hats, boots, drager tubes, gloves, hoses, firehoses, chart pens, charts, sludge jugs, flags, coffee supplies, water cooler supplies, batteries, hurricane supplies, and other miscellaneous supplies. Mops, brooms, paper goods, brushes, all necessary janitorial cleaning supplies. Laboratory upgrades and replacements. Reagents, glassware, replacement of equip- ment, apparatus. Lab supplies consumed by testing procedures including Chlorine Testing. 52101 Polymer: 28,000 lbs ~ $1.75/Ib. $50,000 52102 Lime: Calculated 650 tons {~ $92.00 60,000 per ton. 52103 Chlorine: 300 tons {~ $400.00/ton. 120,000 52104 Biosulfite: 10 shipments ~ $5,000. 50,000 52105 Misc. Chemicals 1,000 52106 Caustic 30 tons ~ $544 per ton 16,000 15,000 2,000 30,000 297,000 CHEMICALS AND SUPPLIES (cont) ACCT. NO. ACC_OUNT TITLE 220 5230 5250 5251 OIL, GREASE, DIESEL, AND LUBRICANTS CONSTRUCTION MATERIAL SMALL TOOLS AND EQUIP- MENT PURCHASE OFFICE EQUIPMENT 5252 LAB EQUIPMENT TOTAL CHEMICALS AND SUPPLIES DESCRIPTION 10,000 gallons Diesel fuel for generator, gas, grease, oil, and lubricants for pumps and mowers. Walkways, signs, fencing, mils, platforms, small shelters, concrete, etc. Additional office and storage units. Handtools, drills, bits, files, small toolboxes, electrical equipment, and small maintenance tools < $500.00 value. Filing cabinets, chairs, calculators, adding machines, office mats, shelves, printers, tables < $500.00 value. Magnetic stirrers, automatic titration attach- ment, oxygen probe, and small equipment < $500.00 value. 1995-96 BUDGET 13,000 4,000 5,000 3,000 5,000 $386,000 OPERATING CONTINGENCY ACCTt NO._ ACCOUNT TITLE 990 OPERATING CONTINGENCY DESCRIPTION To be utilized as a supplement for any line items which are exceeded during the budget year. Status of this Fund to be reported to Board. 1_995-9_6_ BUDGET $50,000 'ENGINEER_ .lNG ACCT. NO. 150 3160 ACCOUNT TITLF GENERAL B IOTOXIC ITY DESCRIPTION 31501 Permit Assistance 31502 Process Control $25,000 35,000 5,000 1995-96 ~BUDGET_ $60,000 5,000 3162 PRETREATMENT TOTAL ENGINEERING 10,000 10,000 $75,000 .PAGE'01 SOUTH CENTRAL REGIONAL WASTEWATER TREATMENT & DISPOSAL BOARD ANNUAL BUDGETS: ACTUAL, BUDGETED, PROJECTED 1991-1996 DESCRIPTION SUMMARY TOTALS PERSONNEL SERVICES OPERATING EXPENSES: SERVICES OPERATIONS/MAINTENANCE CHEMICALS/SUPPLIES TOTAL PERSONNEL AND OPERATING EXPENSES OPERATING CONTINGENCY ENGINEERING TOTAL BUDGET 1990-91 1992-93 1993-94 1994-95 '1994-95 1995-96 ACTUAL _ACTUAL ACTUAL_ _BUDGET PROJECTED_ _BUDGET_ $1,176,339 $1,005.325 $1,074,247 $1.137,250 $1,102,500 $1,144.750 1,775.732 1.476,783 1,505,063 1,793.000 1,598,500 1.703,000 742,680 551,296 558,640 645,000 545,500 601,500 295,102 259,298 229,814 272,000 235.000 251,000 737,950 666,189 716.609 876,000 818,000 850,500 2,952,071 2.482,108 2,579,310 2,930,250 2.701.000 2.847,750 0 0 13.089 50,000 8,000 50,000 132,867 68,790 55,110 125,000 60,000 75,000 $3,084,938 $2,550,898 $2,647,509 $3,105,250 $2,769,900 $2,972,750 PAGE 02 PL~ONNEL SOUTH CENTRAL REGIONAL WASTEWATER TREATMENT AND DISPOSAL BOARD ACCOUNT NO. 1212 12121 12122 1214 12151 12152 1221 1223 12231 1224 1225 1236 DESCRIPTION 1990-91 1992-93 1993-94 1994-95 1994-95 1995-96 _ACTUAL ACTUAL _ACTUAL BUDGET PROJECTED BUDGE_T REGULAR WAGES $840,485 $722,435 $748,480 $795,000 $778,000 $812,000 SICK LEAVE REDUCTIONS 9,920 0 0 3,000 0 3,000 PAYROLL CONTINGENCY 338 739 2,802 1,500 1,500 1,500 OVERTIME 38,628 42,519 34,498 46,000 50,000 42,000 EMPLOYEE ASSIST. PROG. 691 717 486 750 500 750 PLANT PERFORMANCE 35,979 25,000 24,927 0 0 10,000 SOCIAL SECURITY 71,154 60,133 59,336 70,000 66,000 62,000 HEALTH INSURANCE 70,489 54,363 60,211 65,000 60,000 62,000 DENTAL INSURANCE 6,498 6,173 5,599 7,000 7,500 7,500 DISABILITY INSURANCE 8,325 5,380 2,410 8,000 5,000 6,000 LIFE INSURANCE 2,060 2,334 925 2,000 1,000 1,000 WORKERS' COMPENSATION 29,929 23,915 46,957 50,000 50,000 50,000 UNEMPLOYMENT 885 4,482 10,551 10,000 9,000 10,000 PENSION 60,958 58,035 77,065 85~000 74,000 77,000 TOTAL PERSONNEL ................... SERVICES $1,176,339 $1,005,325 $1,074,247 $1,137,250 $1,102,500 $1,144,750 S~ qCES ACCOUNT NO. 3100 3110 3112 3120 3200 34O0 3402 34O4 3406 3410 3 3500 DESCRIPTION SOUTH CENTRAL REGIONAL WASTEWATER TREATMENT AND DISPOSAL BOARD 1990-91 1992-93 1993-94 1994-95 1994-95 1995-96 ACTUA~L ACTUAL_ ACTUAL BUDGET PROJECTED BUDGET MEDICAL SERVICES $81 $397 $2,400 $3,000 $2,000 $5,500 LEGAL (GENERAL & ADMIN) 30,452 21,440 39,036 40,000 40,000 40,000 LEGAL (TOXICITY) 39,986 482 40 5,000 0 5,000 SERVICES (G & A) 19,564 8,307 52,537 21,000 30,000 26.000 AUDITING 16,497 14,061 13,695 20,000 13,000 20,000 PRETREATMENT 8,328 6,726 6,979 9,000 9,000 9,000 TOXICITY TESTING 14,375 27,854 29,457 35,000 35,000 35,000 CHEMICAL ANALYSIS 2,145 2,009 4,718 5,000 4.500 5,000 METER CALIB RATION 7,028 7,705 4,811 5,000 6,000 6,000 SLUDGE HAULING 564,572 392,278 314,574 400,000 325,000 350,000 GRIT HAULING 20,897 24,000 30,200 30,000 33,000 38,000 TRASH HAULING 1,068 1,519 1,128 2,000 1,000 2,000 SERVICES (O & M) 17,687 44,518 59,065 70,000 47,000 60,000 TOTAL SERVICES $742,680 $551,296 $558,640 $645,000 $545,500 $601,500 PAGE 04 SOUTH CENTRAL REGIONAL WASTEWATER TREATMENT AND DISPOSAL BOARD OPERATIONSIMAINTENANCF ACCOUNT NO. DESCRIPTION 1990-91 1992-93 1994-95 1994-95 1994-95 1995-96 ACTUAL ACTUAL ACTUAL BUDGET PROJECTED BUDGET_ 4000 VEHICLE EXPENSE $6,996 4020 BOARD CONTINGENCY 5,970 4100 TELEPHONE 9,158 4400 EQUIPMENT RENTAL 520 4500 INSURANCE 81,089 4600 M & R EQUIPMENT 127,747 462,0 M & R VEHICLES 5,130 4630 M & R GROUNDS 2,959 4_64~. M & R BUILDINGS 13,083 4 M & R UNSPECIFIED 19,623 4900' ADVERTISING 1,115 4902 LICENSE & PERMITS 2,609 5240 UNIFORMS 4,488 5400 MEMBERSHIP DUES & SUBSCRIP 2,123 5410 TECHNICAL TRAINING 8,706 5420 EDUCATIONAL EXPENSES 3,786 TOTAL OPERATIONS/MAINT. $295,102 $6,548 $2,900 $9,000 $6,000 $8,000 2,394 1,891 7,000 1,000 3,000 9,234 10,937 12,000 11,000 12,000 425 15,905 2,000 11,000 3,000 84,726 92,435 104,000 105,000 107,000 57,859 40,593 60,000 42,000 45,000 6,126 2,724 9,000 7,000 10,000 48,831 0 3,000 2,000 3,000 18,780 9,030 15,000 5,000 5,000 6,126 38,242 20,000 15,000 20,000 201 270 1,000 1,000 1,000 4,573 3,787 5,000 10,000 13,000 4,263 4,986 6,000 6,000 6,000 3,030 3,660 5,000 2,000 3,000 5,070 1,822 10,000 10,000 10,000 1,112 632 4,000 1,000 2,000 $259,298 $229,814 $272,000 $235,000 $251,000 PAGE 05 SOUTH CENTRAL REGIONAL WASTEWATER TREATMENT AND DISPOSAL BOARD C hI:'i~IICALSIS U PPL.IES ACCOUNT NO. DESCRIPTION 1990-91 1992-93 1993-94 1994-95 1994-95 1995-96 ACTUAL_ _ACTUAL ACTUAL BUDGET PROJECTED _BUDGET 4300 ELECTRICITY 4302 WATER 5100 OFFICE SUPPLIES 5201 SAFETY SUPPLIES 5202 GENERAL OPERATING 5203 JANITORIAL SUPPLIES 5204 LABORATORY SUPPLIES 5210 CHEMICALS 5220 OIL, FUEL, LUBRICANTS 55~z~i~ CONSTRUCTION MATERIALS SMALL TOOLS < $500 5251 OFFICE EQUIPMENT < $500 5252 LAB EQUIPMENT < $500 TOTAL CHEMICALS/SUPPLIES OPERATING EXPENSES (SUMMARY) SERVICES OPERATIONS/MAINTENANCE CHEMICALS & SUPPLIES TOTAL OPERATING EXPENSES $456,390 $414,948 $412,092 $450,000 $440,000 $450,000 8,930 10,130 11,689 12,000 17,000 14,500 7,215 8,978 6,797 9,000 7,000 7,000 14,442 3,258 5,259 5,000 5,000 5,000 16,337 15,112 11,737 15,000 15,000 15,000 4,890 1,553 1,857 3,900 2,000 2,000 16,839 19,188 24,708 30,000 25,000 30,000 191,474 175,076 223,834 320,000 285,000 297,000 6,727 5.132 4,084 15,000 10,000 13,000 2,749 674 3,074 4,000 3,000 4,000 7,347 5,389 3,639 5,000 3,000 5,000 2,488 2,507 3,002 3,000 1,000 3,000 2,122 4,244 4,837 5,000 5,000 5,000 $73~,950 $666,189 $716,609 $876,000 $818,000 $850,500 $742,680 $551,296 $558,640 $645,000 $545,500 $601,500 295,102 259,298 229,814 272,000 235,000 251,000 737,950 666,189 716,609 876,000 818,000 850,500 $1,775,732 $1,476,783 $1,505,063 $1,793,000 $1,598,500 $1,703,000 PAGE 06 SOUTH CENTRAL REGIONAL WASTEWATER TREATMENT AND DISPOSAL BOARD OPERATING CONTINGENCY ACCOUNT NO. DESCRIPTION 4990 OPERATING CONTINGENCY TOTAL OPERATING CONTINGEN 1990-91 1992-93 1993-94 1994-95 1994-95 1995-96 ACTUAL ACTUAL ACTUAL BUDGET PROJECTED BUDGET $0 $0 $13,089 $50,000 $8,000 $50,000 $0 $0 $13,089 $50,000 $8,000 $50,000 PAGE ~97 E_ NEERING SOUTH CENTRAL REGIONAL WASTEWATER TREATMENT AND DISPOSAL BOARD ACCOUNT NO. DESCRIPTION_ 3150 3160 3162 GENERAL BIOTOXICITY PRETREATMENT TOTAL ENGINEERING 1990-91 1992-93 1993-94 1994-95 1994-95 1995-96 _ACTUAL ACTUAl ACTUAL BUDGET_ PROJECTED BUDGET $106,314 $63,831 $53,714 $125,000 $60,000 1.7,249 0 18 0 0 9,304 4,959 1,378 0 0 $132,867 $68,790 $55,110 $125,000 $60,000 $60,000 5,000 10,000 $75,000 SOUTH CENTRAL REGIONAL WASTEWATER TREATMENT AND DISPOSAL BOARD SINKING FUND 1995-1996 .01 .02 .03 .04 .05 .06 ~07 .08 .09 .10 .11 Repair deteriorated concrete in channel of Screening Building, B Aeration basins, scum pit, lift stations. Replace level indicator control and annunciator panel Effluent Bldg. Modify and replace flow master device - Screening Bldg. Overhaul control panel & install AC unit - A PAS Bldg. Replace sludge loading pump. Replace gears cyclone grit remover Replace effluent infiuent composite sampler. Replace Lab distillation unit. Replace deteriorated metal doore & frames throughout plant Single 9 Double 10 Hoist door Screening Bldg. 1 Paint Interior Admin. Bldg., Walkway B Clarifiers, Lime Silo Bldg. North side Chemical Bldg., tanks & scrubbers DAF area & incinerator Replace carpet in Admin. Bldg. $100,000 2,500 2,000 4,500 6,000 5,000 3,000 10,000 40,000 60,000 10,000 .TOTAL SINKING FUND $243,000 SOUTH CENTRAL REGIONAL WASTEWATER TREATMENT AND DISPOSAL BOARD SURPLUS FUND 1995 - 1996 .01 .02 ~02 Repair Effluent Force Main - Land Emergency Effluent Discharge Improvements Remove Incinerator TOTAL SURPLUS FUND $80,000 70,000 75,000 $225,000 * $200,000 remains from Surplus Fund monies appropriated previously for Effluent Force Main Study and Intracoastal emergency repairs to make necessary repairs in Ocean Outfall. SOUTH CENTRAL REGIONAL WASTEWATER TREATMENT AND DISPOSAL BOARD CAPITAL ASSETS 1995 - 1996 .01 .02 .03 .04 .05 .06 Centrifuge Hoist - Chemical Bldg. Chiller for Centrifuge - Chemical Bldg. Screening Building Hoist - Screening Bldg. Purchase Used Golf Cart (Maintenance) Portable Gas Welder Computer Work Station $14,500 7,000 5,000 3,000 3,000 1,000 .TOTAL CAPITAL ASSETR $33,500 .~OUTH CENTRAL REGIONAL WASTEWATER TREATMENT AND DISPOSAL BOARD CAPITAL PROJECTS 1995 - 1996 .01 Modify Grit Unloading Pit $15,000 .02 Construction New Operators' Room 60,000 TOTAL CAPITAL PROJECTS $75,000